# balance-sheet > Retrieve detailed balance sheet statement data including Total Assets, Current Assets, Non-Current Assets, Liabilities, Equity, and Net Debt for public companies. Use when analyzing financial position, capital structure, or leverage metrics. - Author: Melvin - Repository: OctagonAI/skills - Version: 20260203123411 - Stars: 6 - Forks: 0 - Last Updated: 2026-02-06 - Source: https://github.com/OctagonAI/skills - Web: https://mule.run/skillshub/@@OctagonAI/skills~balance-sheet:20260203123411 --- --- name: balance-sheet description: Retrieve detailed balance sheet statement data including Total Assets, Current Assets, Non-Current Assets, Liabilities, Equity, and Net Debt for public companies. Use when analyzing financial position, capital structure, or leverage metrics. --- # Balance Sheet Retrieve detailed balance sheet statement data for public companies using Octagon MCP. ## Prerequisites Ensure Octagon MCP is configured in your AI agent (Cursor, Claude Desktop, Windsurf, etc.). See [references/mcp-setup.md](references/mcp-setup.md) for installation instructions. ## Query Format ``` Retrieve detailed balance sheet statement data for , limited to records and filtered by period . ``` **MCP Call:** ```json { "server": "octagon-mcp", "toolName": "octagon-agent", "arguments": { "prompt": "Retrieve detailed balance sheet statement data for AAPL, limited to 5 records and filtered by period FY" } } ``` ## Output Format The agent returns a table with absolute financial figures: | Fiscal Year | Total Assets (USD) | Total Current Assets (USD) | Total Non-Current Assets (USD) | Total Liabilities (USD) | Total Equity (USD) | Net Debt (USD) | |-------------|-------------------|---------------------------|-------------------------------|------------------------|-------------------|----------------| | 2025 | 359,241.00 million | 147,957.00 million | 211,284.00 million | 285,508.00 million | 73,733.00 million | 89,749.00 million | | 2024 | 364,980.00 million | 152,987.00 million | 211,993.00 million | 308,030.00 million | 56,950.00 million | 89,116.00 million | | 2023 | 352,583.00 million | 143,566.00 million | 209,017.00 million | 290,437.00 million | 62,146.00 million | 93,965.00 million | | 2022 | 352,755.00 million | 135,405.00 million | 217,350.00 million | 302,083.00 million | 50,672.00 million | 108,834.00 million | | 2021 | 351,002.00 million | 134,836.00 million | 216,166.00 million | 287,912.00 million | 63,090.00 million | 101,582.00 million | **Data Source:** octagon-financials-agent ## Key Observations Pattern After receiving data, generate observations: 1. **Asset base changes**: Track total assets trajectory over time 2. **Asset composition**: Analyze current vs non-current asset mix 3. **Equity trends**: Monitor shareholders' equity changes 4. **Leverage position**: Track net debt levels and direction 5. **Capital structure**: Compare liabilities to equity ratios ## Metrics Reference | Metric | Definition | |--------|------------| | Total Assets | All resources owned by the company | | Total Current Assets | Assets convertible to cash within 1 year | | Total Non-Current Assets | Long-term assets (PP&E, intangibles, investments) | | Total Liabilities | All obligations and debts | | Total Equity | Net worth (Assets - Liabilities) | | Net Debt | Total debt minus cash and equivalents | ## Analysis Tips ### Asset Composition - Current Assets: Liquidity and working capital - Non-Current Assets: Long-term investments and capacity - Shift toward current = more liquid - Shift toward non-current = more invested ### Capital Structure Ratios Calculate from the data: ``` Debt-to-Equity = Total Liabilities / Total Equity Equity Ratio = Total Equity / Total Assets ``` ### Net Debt Analysis - Declining Net Debt = deleveraging - Negative Net Debt = net cash position - Compare to EBITDA for leverage context ### Equity Trends Rising equity from: - Retained earnings (profitable operations) - Stock issuance - Other comprehensive income Declining equity from: - Net losses - Share buybacks - Dividends exceeding earnings ### Working Capital ``` Working Capital = Current Assets - Current Liabilities ``` Positive = can meet short-term obligations ## Follow-up Queries Based on results, suggest deeper analysis: - "What factors contributed to the decline in total assets in [YEAR] compared to [PRIOR YEAR]?" - "How has [COMPANY]'s capital allocation strategy evolved between [YEAR1] and [YEAR2]?" - "What specific components of non-current assets grew between [YEAR1] and [YEAR2]?" - "Compare [COMPANY]'s leverage ratios to [PEER1] and [PEER2]"