BackAltisource Portfolio Solutions S.A. Overview

Altisource Portfolio Solutions S.A. Total Liabilities

Track Altisource Portfolio Solutions S.A.'s total liabilities ($250M) with charts, peers, and YoY trends.

Get informed when a big investor buys or sells

+ Follow
Total Liabilities
$245.82M
0.39% YoYΔ $946000.00 vs prior year quarter

Peer average

Loading

Altisource Portfolio Solutions S.A. Total Liabilities History

Loading

Altisource Portfolio Solutions S.A. vs. peers: Total Liabilities Comparison

Loading

Altisource Portfolio Solutions S.A. Total Liabilities Growth (YoY per quarter)

Latest change versus the prior comparable period (same company).

Loading

Altisource Portfolio Solutions S.A. (ASPS) FAQ

Altisource Portfolio Solutions S.A.'s total liabilities stands at $250M as of June 2026. That compares with $240M in the prior-year period — up 0.4% year over year. Stockcircle updates this page with the newest filings so you can track how the metric evolves quarter by quarter.

Altisource Portfolio Solutions S.A. reported $250M in total liabilities versus $240M a year earlier — a 0.4% year-over-year increase. The historical chart on this page makes it easier to see whether that move is part of a longer pattern.

That compares with $240M in the prior-year period — up 0.4% year over year. Sustained growth in total liabilities can support a stronger franchise, while sharp declines may reflect divestitures, weaker demand, or accounting changes. Always read YoY moves with the footnotes of recent filings in mind.

The history chart shows how Altisource Portfolio Solutions S.A.'s total liabilities evolved across reporting periods, while the comparison chart places ASPS next to similar companies. Use both: a rising metric that still lags peers tells a different story than a rising metric that already leads the group. Growth charts, when available, highlight acceleration or slowdown.

Yes — within Finance, total liabilities is commonly used to spot outliers. Altisource Portfolio Solutions S.A.'s reading of $250M is a starting point; confirm whether differences come from growth, margins, accounting choices, or one-time items before treating an outlier as a buy or sell signal.