Sprinklr, Inc.

NYSE:CXM

7.81 (USD) • At close September 5, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2026 Q22026 Q12025 Q42025 Q32025 Q22025 Q12024 Q42024 Q32024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q1
Assets:
Current Assets:
Cash & Cash Equivalents 125.365126.421145.2793.239119.119128.145165.518172.462147.683186.244188.387156.025154.208131.819321.426522.386433.9984.18968.037-10.47
Short Term Investments 348.626443.813338.189383.404349.332483.264498.531483.969480.725418.194390.239388.089386.646399.039210.98319.111114.806191.046212.65220.94
Cash and Short Term Investments 473.991570.234483.459476.643468.451611.409664.049656.431628.408604.438578.626544.114540.854530.858532.409541.497548.796275.235280.68910.47
Net Receivables 202.473207.687289.983180.141192.655195.188275.618161.424184.524187.806209.823136.655146.83139.729166.842106.207106.49992.958117.1020
Inventory 000000021.88900026.055049.195042.064059.56262.1570
Other Current Assets 90.71284.2598.23778.91680.50378.55362.80369.46464.95765.188124.284123.134135.985101.797152.466122.911123.14125.26467.2190
Total Current Assets 767.176862.171854.097729.777741.609844.344958.49887.319877.889851.449862.529757.603778.638772.384805.257741.883747.864464.481492.78610.47
Non-Current Assets:
Property, Plant & Equipment, Net 75.91777.66976.21780.61381.85181.36263.23458.17357.71640.65838.6134.18532.55430.2614.70513.44112.3229.7429.0110
Goodwill 00000050.02700-16.72750.0350.489-11.80750.70349.91149.85146.84846.82447.4270
Intangible Assets 050.144289.983180.14149.95750.08620.26550.22150.25467.01715.721062.39109.2038.0590.4390.5224.9950
Goodwill and Intangible Assets 50.15550.14449.95749.91349.95750.08670.29250.22150.25450.2965.75150.48950.58450.70359.11450.77847.28747.34652.4220
Long Term Investments 000007.8266.9116.9114.9824.669.448.743.841.842.329.225.324.800
Tax Assets 80.69587.72700000-6.911-4.982-4.6-69.4-48.7-43.8-41.8-42.3-29.2-25.3-24.800
Other Non-Current Assets 112.17111.797203.928109.998110.381140.49144.3392.00186.79481.62173.50354.71849.50846.82749.37838.60844.00551.47236.669-10.47
Total Non-Current Assets 318.937327.337330.102240.524242.189279.764264.62200.395194.764172.569162.462139.392132.646127.79114.789102.827103.614108.5693.107-10.47
Total Assets 1,086.1131,189.5081,184.199970.301983.7981,124.1081,223.111,087.7141,072.6531,024.0181,024.991896.995911.284900.173920.046844.71851.478573.041585.8930
Liabilities & Equity:
Current Liabilities:
Account Payables 28.2626.77727.35332.69325.15419.16334.69122.47322.79122.29330.10115.77639.5121.03615.80211.05510.1515.79916.9550
Short Term Debt 8.3958.3927.4627.2286.28613.32211.4612.41613.73614.3087.13413.38613.0515.322000000
Tax Payables 016.54117.72417.0138.045.6754.5295.7315.944.3913.1395.0034.2024.0642.5593.3542.6951.1160.6770
Deferred Revenue 395.059403.849403.483311.009363.48370.229374.552297.13322.944322.057324.14257.659276.218274.633272.381221.918231.129223.192221.4390
Other Current Liabilities 62.2139.92661.56150.9150.04551.93582.92860.84257.99265.53294.38576.67359.2164.51297.66174.8857.58148.32362.4930
Total Current Liabilities 493.924495.485517.583418.853459.291460.324508.16398.592423.403428.581458.899368.497392.19379.567388.403311.207301.555288.43301.5640
Non-Current Liabilities:
Long Term Debt 39.81742.5241.24343.9344.91944.93227.56223.5324.9849.8069.6337.6017.3118.30500080.86378.8480
Deferred Revenue Non-Current 04.719003.030.710.5061.1550.4880.6311.3711.0151.2633.4111.97211.85413.19816.6619.8730
Deferred Tax Liabilities Non-Current 000.0351.4751.4751.4741.4741.31.3031.291.2891.0891.0931.0961.1010.8690.870.870.8690
Other Non-Current Liabilities 8.9357.01254.5189.0196.1165.7375.7044.9335.1894.8584.4671.3651.4121.4372.7212.3661.8711.9192.0060
Total Non-Current Liabilities 48.75254.25154.55354.42455.5452.85335.24630.91831.96416.58516.7611.0711.07914.24815.79415.08915.939100.312101.5960
Total Liabilities 542.676549.736572.136473.277514.831513.177543.406429.51455.367445.166475.659379.567403.269393.815404.197326.296317.494388.742403.160
Equity:
Preferred Stock 00000000000000000424.992424.992245.97
Common Stock 0.0070.0080.0080.0080.0080.0080.0080.0080.0080.0090.0090.0090.0090.0080.0080.0080.0080.0040.0040
Retained Earnings -756.446-627.633-626.065-724.846-735.376-565.97-474.787-466.351-483.318-493.803-496.611-496.705-490.845-466.918-441.63-418.455-389.224-355.977-341.280
Accumulated Other Comprehensive Income/Loss -4.742-2.652-6.969-4.031-4.251-5.224-3.836-5.383-4.262-4.094-4.384-7.444-5.167-4.003-0.82-0.005-0.010.3870.787-268.321
Other Total Stockholders Equity 1,304.6181,270.0491,245.0891,225.8931,208.5861,182.1171,158.3191,129.931,104.8581,076.741,050.3181,021.5681,004.018977.271958.291936.866923.21114.89398.230
Total Shareholders Equity 543.437639.772612.063497.024468.967610.931679.704658.204617.286578.852549.332517.428508.015506.358515.849518.414533.984184.299182.733-22.351
Total Equity 543.437639.772612.063497.024468.967610.931679.704658.204617.286578.852549.332517.428508.015506.358515.849518.414533.984184.299182.733-22.351
Total Liabilities & Shareholders Equity 1,086.1131,189.5081,184.199970.301983.7981,124.1081,223.111,087.7141,072.6531,024.0181,024.991896.995911.284900.173920.046844.71851.478573.041585.893-22.351