PVT - Private Company Price USD

Liquid Death (LIDE.PVT)

6.64
Forge Price as of Aug 21, 2026.
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  • Estimated Valuation 722.07M
  • Latest Funding Date Mar 11, 2024
  • Total Amount Raised 2.48B
  • Latest Amount Raised 67.61M
  • Total Funding Rounds 8
  • Latest Share Class Series F-1

Liquid Death: Learn More

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Liquid Death Overview

Liquid Death is a beverage company that sells canned water, flavored sparkling water, and iced tea with a bold branding approach inspired by punk and heavy metal culture. The company markets its beverages in tallboy cans, emphasizing sustainability by using recyclable aluminum instead of plastic. With its edgy marketing and commitment to environmental initiatives, Liquid Death aims to make hydration more appealing while reducing plastic waste.

2017-01-01

Founded

251

Full Time Employees

Food and Beverage

Sector

Food and Beverage, Product Design, Wellness

Industry

Leadership and Board

Performance Overview

Trailing returns as of 8/21/2026. Benchmark is Forge Private Market Index (^FPMI) .

3M Return

LIDE.PVT
24.11%
Forge Private Market Index (^FPMI)
18.66%

YTD Return

LIDE.PVT
24.11%
Forge Private Market Index (^FPMI)
49.00%

1-Year Return

LIDE.PVT
24.11%
Forge Private Market Index (^FPMI)
89.55%

2-Year Return

LIDE.PVT
33.60%
Forge Private Market Index (^FPMI)
198.85%

Valuation Information

Funding Rounds

Post-Money Valuation

Jun

2019

Jan

2020

Sep

2020

May

2021

Dec

2021

Aug

2022

Mar

2023

Nov

2023

0
200M
400M
600M
800M
1B
1B
1B
Funding Date
Share Class
Amount Raised
Issue Price
Post-Money Valuation
2024-03-11 Series F-1 67.61M 12.8742 1.4B
2023-05-11 Series E 76.5M 9.6557 1B
2022-10-03 Series D 70.1M 6.8346 704.76M
2022-01-03 Series C 75M 6.016 538.85M
2021-05-13 Series B-1 15M 2.6246 152.21M
2020-09-29 Series B 22.95M 1.9162 102.14M
2020-02-20 Series A 10M 1.2479 49.93M
2020-02-20 Series A-1 2.1M 1.2479 49.93M
2019-05-07 Series Seed 2.65M 0.2575 6.64M

Mutual Fund Marks

Reported Date
Fund Name
Fund Ticker
Share Class
Price
Source
2026-03-31

BNY Mellon Investment Funds I

--

Common

8.88
2025-12-31

BNY Mellon Investment Funds I

--

Common

11.34
2025-09-30

BNY Mellon Investment Funds I

--

Common

12.87
2025-08-31

BNY Mellon Advantage Funds, Inc.

--

Common

13.65
2025-06-30

BNY Mellon Investment Funds I

--

Common

13.13
2025-05-31

BNY Mellon Advantage Funds, Inc.

--

Common

12.63

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