HELEN OF TROY LTD Cash And Cash Equivalents At Carrying Value

Quick Answer

HELEN OF TROY LTD reported Cash And Cash Equivalents At Carrying Value of $18.87 million for the year ending 2025.

  • HELEN OF TROY LTD showed an increase of +2.0% in Cash And Cash Equivalents At Carrying Value from 2024 to 2025.
  • This data is from HELEN OF TROY LTD's annual report (Form 10-K), filed with the SEC on April 24, 2025.
  • XBRL data for this metric is available from 2009 to 2025 (17 years of filings). Earlier data may not exist in machine-readable XBRL format as companies adopted electronic filing at different times.
  • Over the full 17 years of available data (2009 to 2025), HELEN OF TROY LTD's Cash And Cash Equivalents At Carrying Value has declined by 81.6%.
  • Historical annual values: Fiscal year 2025: $18.87 million | Fiscal year 2024: $18.50 million | Fiscal year 2023: $29.07 million | Fiscal year 2022: $33.38 million | Fiscal year 2021: $45.12 million | Fiscal year 2020: $24.47 million | Fiscal year 2019: $11.87 million | Fiscal year 2018: $20.74 million | Fiscal year 2017: $23.85 million | Fiscal year 2016: $227.46 million | Fiscal year 2015: $12.30 million | Fiscal year 2014: $70.03 million | Fiscal year 2013: $12.84 million | Fiscal year 2012: $21.85 million | Fiscal year 2011: $27.19 million | Fiscal year 2010: $110.21 million | Fiscal year 2009: $102.68 million.
  • Data sourced from SEC EDGAR public filings as of June 23, 2026.

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