Current Ratio of Solana Co from 31 Dec 2015 to 30 Sep 2025

Taxonomy & unit
ratio: %
Description
The current ratio is a liquidity ratio that measures a company's ability to cover its short-term obligations with its current assets.
Summary
Solana Co quarterly Current Ratio in % history and change rate from 31 Dec 2015 to 30 Sep 2025.
  • Solana Co Current Ratio for the quarter ending 30 Sep 2025 was 1540%, a 300% increase year-over-year.
Current Ratio, Quarterly (%)
Current Ratio, YoY Quarterly Change (%)

Solana Co Quarterly Current Ratio (%)

Period Value YoY Chg Change % Date
Q3 2025 1540% +1154% +300% 30 Sep 2025
Q2 2025 268% -166% -38% 30 Jun 2025
Q1 2025 270% -226% -46% 31 Mar 2025
Q4 2024 315% -281% -47% 31 Dec 2024
Q3 2024 385% -338% -47% 30 Sep 2024
Q2 2024 434% -464% -52% 30 Jun 2024
Q1 2024 496% -292% -37% 31 Mar 2024
Q4 2023 596% -74% -11% 31 Dec 2023
Q3 2023 724% +163% +29% 30 Sep 2023
Q2 2023 898% +554% +161% 30 Jun 2023
Q1 2023 787% +415% +112% 31 Mar 2023
Q4 2022 670% +262% +64% 31 Dec 2022
Q3 2022 561% +224% +67% 30 Sep 2022
Q2 2022 344% +27% +8.5% 30 Jun 2022
Q1 2022 372% +74% +25% 31 Mar 2022
Q4 2021 408% +186% +83% 31 Dec 2021
Q3 2021 337% +119% +54% 30 Sep 2021
Q2 2021 317% +58% +22% 30 Jun 2021
Q1 2021 298% +22% +8% 31 Mar 2021
Q4 2020 223% -30% -12% 31 Dec 2020
Q3 2020 218% +9.6% +4.6% 30 Sep 2020
Q2 2020 259% +107% +70% 30 Jun 2020
Q1 2020 276% +172% +167% 31 Mar 2020
Q4 2019 253% +168% +197% 31 Dec 2019
Q3 2019 208% +148% +247% 30 Sep 2019
Q2 2019 153% +103% +208% 30 Jun 2019
Q1 2019 103% +49% +90% 31 Mar 2019
Q4 2018 85% +26% +43% 31 Dec 2018
Q3 2018 60% -2.5% -4% 30 Sep 2018
Q2 2018 50% -44% -47% 30 Jun 2018
Q1 2018 54% -56% -51% 31 Mar 2018
Q4 2017 59% -59% -50% 31 Dec 2017
Q3 2017 63% -68% -52% 30 Sep 2017
Q2 2017 94% -23% -20% 30 Jun 2017
Q1 2017 111% +26% +31% 31 Mar 2017
Q4 2016 118% +38% +46% 31 Dec 2016
Q3 2016 131% 30 Sep 2016
Q2 2016 117% 30 Jun 2016
Q1 2016 85% 31 Mar 2016
Q4 2015 81% 31 Dec 2015
* An asterisk sign (*) next to the value indicates that the value is likely invalid.