Vip Play Quick Ratio (VIPZ) starting from the third quarter 2026 to third quarter 2025, Financial Strength Trends, Rankings, Financial Ratios - CSIMarket
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VIP Play, Inc.  (OTC: VIPZ)
    Sector • Retail    Industry • Specialty Retail
   Industry • Specialty Retail
   Sector • Retail

Vip Play's Quick Ratio

VIPZ's quarterly Quick Ratio and Cash & cash equivalent, Current Liabilities growth


Regardless of the sequential decrease in Current Liabilities, during the third quarter 2026, Quick Ratio deteriorated to 0 a new company low.

Within Specialty Retail industry VIP Play, Inc. booked the highest Quick Ratio than Vip Play in the third quarter 2026. While Quick Ratio total ranking in the third quarter 2026 has deteriorated compared to the prior quarter from to 14.

Explain Quick Ratio?
How much Cash & cash equivalents VIPZ´s has?
What are VIPZ´s Current Liabilities?




VIPZ Quick Ratio (Mar 31 2026)
Q3
(Dec 31 2025)
Q2
(Sep 30 2025)
Q1
(Jun 30 2025)
Q4
(Mar 31 2025)
Q3
Y / Y Current Liabilities Change 31.3 % 834.16 % 44.68 % 60.06 % 120.43 %
Y / Y Cash & cash equivalent Change -62.03 % 28.23 % -9.81 % -63.85 % -63.88 %
Quick Ratio MRQ 0 0 0.01 0.01 0.01
VIPZ's Total Ranking # 14 # # # #
Seq. Current Liabilities Change -82.22 % 506.23 % 8.13 % 12.68 % 26.47 %
Seq. Cash & cash equivalent Change -71.29 % -39.64 % 200.6 % -27.11 % -3.05 %



Quick Ratio third quarter 2026 Company Ranking
Within: No.
Specialty Retail Industry # 0
Retail Sector # 0
Overall Market # 14


Quick Ratio Statistics
High Average Low
11.05 1.24 0
(Dec 31 2021)   (Dec 31 2025)




Financial Statements
Vip Play's Current Liabilities $ 38 Millions Visit VIPZ's Balance sheet
Vip Play's Cash & cash equivalent $ 0 Millions Visit VIPZ's Balance sheet
Source of VIPZ's Sales Visit VIPZ's Sales by Geography


Cumulative Vip Play's Quick Ratio

VIPZ's Quick Ratio for the trailling 12 Months

VIPZ Quick Ratio

(Mar 31 2026)
12 Months
(Dec 31 2025)
12 Months
(Sep 30 2025)
12 Months
(Jun 30 2025)
12 Months
(Mar 31 2025)
12 Months
Y / Y Current Liabilities TTM Growth 230.99 % 284.57 % 90.13 % 97.96 % 107.52 %
Y / Y Cash & cash equivalent TTM Growth -28.64 % -36.42 % -41.45 % -53.33 % -39.44 %
Quick Ratio TTM 0 0 0.01 0.01 0.02
Total Ranking TTM # 4048 # 4652 # 3565 # 3610 # 3602
Seq. Current Liabilities TTM Growth 2.92 % 159.47 % 10.01 % 12.67 % 19.58 %
Seq. Cash & cash equivalent TTM Growth -11.83 % 5.88 % -4.59 % -19.88 % -21.45 %


On the trailing twelve months basis In Spite of the drop in Current Liabilities in the Q3 2026 to $38.12 millions, cumulative Quick Ratio