Texas Roadhouse, Inc.— Sankey Diagram

Annual mode · period ending 2025-12-30 · SEC EDGAR

FY2025 - Q4(Oct 25 · Nov 25 · Dec 25)
Total Assets
$3.55B
↑+11.2% +$359Mvs FY2024
Total Liabilities
$2.07B
↑+13.8% +$251Mvs FY2024
Equity
$1.46B
↑+7.5% +$102Mvs FY2024
Cash
$135M
↓-45.1% -$111Mvs FY2024
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Reconciled values per the annual mode pipeline. Compare against SEC EDGAR filings.
Line itemFY2025FY2024
Total Assets$3.55B$3.19B
Current Assets$451M$517M
Cash$135M$245M
ST Investments$0$0
Receivables$215M$193M
Inventory$46M$41M
Other Current$57M$37M
Non-Current Assets$3.10B$2.67B
PPE$1.80B$1.62B
Goodwill$242M$170M
Intangibles$18M$1M
Investments$0$0
Other Non-Current$1.03B$886M
Total Liab+Eq$3.53B$3.18B
Current Liab.$909M$828M
Accounts Payable$163M$145M
Short-Term Debt$0$0
Deferred Revenue$449M$401M
Other CL$297M$282M
Non-Current Liab.$1.16B$989M
Long-Term Debt$0$0
Other LT Liab.$1.16B$989M
Equity$1.46B$1.36B
Retained Earnings$1.46B$1.36B
Other Equity$66K$67K

QuarterCharts · SEC EDGAR data · TXRH · Comparing FY2025 vs FY2024