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Financial Statements — UAL

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents10.177.876.739.359.378.8110.868.407.489.617.6311.2616.8918.4719.2620.8412.67
Short-term Investments6.476.306.606.265.965.354.385.599.619.539.527.443.190.210.170.230.31
Accounts Receivable2.472.662.432.292.292.042.382.262.192.002.272.032.222.061.711.791.39
Total Current Assets21.6619.3918.0920.2620.1518.5720.0018.7021.9123.3121.5922.6924.3722.6123.0624.6716.02
Property, Plant & Equipment47.9647.0744.9743.9043.4341.6840.6740.4738.3637.1335.8432.5131.8531.8832.1332.3331.92
Goodwill4.534.534.534.534.534.534.534.534.534.534.534.534.534.534.534.534.53
Intangible Assets2.652.652.662.672.682.692.702.722.742.742.752.772.782.792.822.832.84
Total Non-current Assets*62.9161.5558.2256.9055.9654.0753.2553.2151.2450.0448.8346.2846.0146.4346.2446.3845.64
Total Assets84.5780.9476.3177.1676.1172.6473.2571.9073.1573.3470.4268.9770.3869.0469.2971.0561.66
Accounts Payable5.775.384.644.924.694.014.484.344.214.173.863.533.762.972.202.221.84
Total Current Liabilities27.7627.7827.1228.9925.8023.3725.8624.7624.7625.5823.6421.9923.4421.7916.9318.0614.17
Long-term Debt24.2921.9420.8120.8924.4022.2121.6923.0625.9326.7127.4628.4929.1829.6731.5232.3025.85
Total Non-current Liabilities*40.1137.2834.8934.8037.7037.8436.8737.9539.5440.0640.1142.0842.9743.6346.9348.0842.29
Total Liabilities*67.8765.0762.0063.7963.5061.2062.7362.7164.3065.6463.7564.0766.4265.4163.8666.1556.46
Retained Earnings11.5410.739.058.117.145.904.993.663.232.101.020.42(0.51)(0.84)1.270.801.24
Total Stockholder Equity16.7015.8814.3113.3712.6211.4410.539.198.857.716.674.903.963.625.434.905.21

* Derived from reported values

Income Statement

(in billions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue17.6714.6115.4015.2315.2413.2114.7014.8414.9912.5413.6314.4814.1811.4312.4012.8812.117.578.197.75
Operating Income1.101.001.391.401.330.611.501.571.930.101.001.741.52(0.04)1.381.460.88(1.38)(0.41)1.04
Pretax Income1.030.871.331.251.250.481.311.291.74(0.16)0.771.491.39(0.26)1.131.150.46(1.75)(0.84)0.60
Tax Provision0.220.170.280.310.280.090.320.320.42(0.04)0.170.350.31(0.06)0.290.210.13(0.37)(0.20)0.13
Net Income0.810.701.040.950.970.390.990.971.32(0.12)0.601.141.08(0.19)0.840.940.33(1.38)(0.65)0.47
Basic EPS2.482.163.212.933.001.183.012.934.02(0.38)1.823.473.28(0.59)2.612.881.01(4.24)(2.00)1.46
Diluted EPS2.462.143.172.902.971.162.972.903.96(0.38)1.823.423.24(0.59)2.612.861.00(4.24)(2.00)1.44

Cash Flow Statement

(in billions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow1.614.801.291.222.223.712.221.502.882.85(0.91)0.883.803.141.160.742.691.48(0.27)(0.79)
Capital Expenditures1.341.671.891.461.291.231.681.411.161.372.071.841.421.842.541.330.550.400.540.27
Free Cash Flow*0.273.13(0.60)(0.25)0.932.480.550.091.711.48(2.98)(0.96)2.381.30(1.38)(0.59)2.141.07(0.80)(1.05)
Investing Cash Flow(1.46)(1.89)(1.56)(1.74)(1.58)(1.46)(1.71)(2.51)0.131.44(0.74)(1.94)(1.46)(1.97)(4.39)(5.53)(3.48)(0.43)(0.35)(0.21)
Financing Cash Flow2.15(0.98)(0.51)(2.14)(0.84)(1.46)(0.59)(1.07)(0.58)(1.94)(0.12)(0.71)(0.49)(0.56)(0.88)(0.82)(0.80)(0.86)(0.57)(0.58)

* Derived from reported values