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For the year ending 2025-12-31, BHR-PB has $1,861,732K in assets. $1,336,611K in debts. $124,354K in cash and cash equivalents.

Balance Sheets Overview

Debt to Asset Ratio
71.79%
Unit: Thousand (K) dollars
Assets Breakdown
    • Cash and cash equivalents
    • Restricted cash
    • Accounts receivable, net of allo...
    • Others
Liabilities Breakdown
    • Indebtedness, gross
    • Additional paid-in capital
    • Accumulated deficit
    • Others

Balance Sheets
2025-12-31
Investments in hotel properties, gross
1,902,328
Accumulated depreciation
344,061
Investments in hotel properties, net
1,558,267
Cash and cash equivalents
124,354
Restricted cash
42,479
Investment in securities (amortized cost of 0 and 42,279, respectively)
0
Accounts receivable, net of allowance of 113 and 459, respectively
32,843
Inventories
4,741
Note receivable
8,896
Prepaid expenses
6,987
Deposit paid to ashford inc-Affiliated Entity
17,000
Deferred costs, net
75
Investment in unconsolidated entity
89
Derivative assets
56
Operating lease right-of-use assets
30,743
Other assets
15,368
Intangible assets, net
2,746
Due from third-party hotel managers-Nonrelated Party
17,088
Total assets
1,861,732
Indebtedness, gross
1,113,025
Deferred loan costs, net
9,291
Premiums/(discounts), net
284
Indebtedness, net
1,103,450
Accounts payable and accrued expenses
142,123
Redeemable preferred stock redemptions payable
30,864
Dividends and distributions payable
7,672
Due to related parties and nonrelated parties-Affiliated Entity
5,148
Due to related parties and nonrelated parties-Related Party
257
Due to related parties and nonrelated parties-Nonrelated Party
1,467
Operating lease liabilities
20,058
Other liabilities
25,572
Total liabilities
1,336,611
Series preferred stock-Series BPreferred Stock
65,426
Series preferred stock-Series EPreferred Stock
265,695
Series preferred stock-Series MPreferred Stock
34,217
Redeemable noncontrolling interests in operating partnership
19,005
8.25 series d cumulative preferred stock, 1,600,000 shares issued and outstanding at december 31, 2025 and december31, 2024
16
Common stock, 0.01 par value, 250,000,000 shares authorized, 68,219,432 and 66,607,823 shares issued and outstanding at december 31, 2025 and december31, 2024, respectively
682
Additional paid-in capital
706,488
Accumulated other comprehensive income (loss)
0
Accumulated deficit
-568,503
Total stockholders equity of the company
138,683
Noncontrolling interest in consolidated entities
2,095
Total equity
140,778
Total liabilities and equity
1,861,732
Unit: Thousand (K) dollars (except for numbers of shares and EPS).

Time Plot

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Balance Sheets

Investments in hotelproperties, gross$1,902,328K Investments in hotelproperties, net$1,558,267K Cash and cashequivalents$124,354K Restricted cash$42,479K Accounts receivable, netof allowance of 113...$32,843K Operating leaseright-of-use assets$30,743K Due fromthird-party hotel...$17,088K Deposit paid to ashfordinc-Affiliated Entity$17,000K Other assets$15,368K Note receivable$8,896K Prepaid expenses$6,987K Inventories$4,741K Intangible assets, net$2,746K Investment inunconsolidated entity$89K Deferred costs, net$75K Derivative assets$56K Accumulated depreciation$344,061K Total assets$1,861,732K Total liabilities andequity$1,861,732K Total liabilities$1,336,611K Series preferredstock-Series EPreferred...$265,695K Total equity$140,778K Series preferredstock-Series BPreferred...$65,426K Series preferredstock-Series MPreferred...$34,217K Redeemable noncontrollinginterests in operating...$19,005K Indebtedness, net$1,103,450K Accounts payable andaccrued expenses$142,123K Redeemable preferred stockredemptions payable$30,864K Other liabilities$25,572K Operating leaseliabilities$20,058K Dividends anddistributions payable$7,672K Due to relatedparties and nonrelated...$5,148K Due to relatedparties and nonrelated...$1,467K Due to relatedparties and nonrelated...$257K Total stockholdersequity of the company$138,683K Noncontrolling interest inconsolidated entities$2,095K Deferred loan costs, net$9,291K Premiums/(discounts), net$284K Accumulated deficit-$568,503K Indebtedness, gross$1,113,025K Additional paid-in capital$706,488K Common stock, 0.01 parvalue, 250,000,000...$682K 8.25 series dcumulative preferred...$16K

Braemar Hotels & Resorts Inc. (BHR-PB)

Braemar Hotels & Resorts Inc. (BHR-PB)