Sprinklr, Inc.

NYSE:CXM

8.66 (USD) • At close July 1, 2025
Overview | Financials

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

2026 Q12025 Q42025 Q32025 Q22025 Q12024 Q42024 Q32024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q12003 Q4
Assets:
Current Assets:
Cash & Cash Equivalents 126.421145.2793.239119.119128.145165.518172.462147.683186.244188.387156.025154.208131.819321.426522.386433.9984.18968.037-10.470
Short Term Investments 443.813338.189383.404349.332483.264498.531483.969480.725418.194390.239388.089386.646399.039210.98319.111114.806191.046212.65220.940
Cash and Short Term Investments 570.234483.459476.643468.451611.409664.049656.431628.408604.438578.626544.114540.854530.858532.409541.497548.796275.235280.68910.470
Net Receivables 207.687289.983174.218192.655195.188275.618161.424184.524181.823209.823136.655146.83139.729166.842106.207106.49992.958117.10200
Inventory 00000021.88900026.055049.195042.064059.56262.15700
Other Current Assets 84.2598.23778.91680.50378.55362.80369.46464.95765.188124.284123.134135.985101.797152.466122.911123.14125.26467.21900
Total Current Assets 862.171854.097729.777741.609844.344958.49887.319877.889851.449862.529757.603778.638772.384805.257741.883747.864464.481492.78610.470
Non-Current Assets:
Property, Plant & Equipment, Net 77.66976.21780.61381.85181.36263.23458.17357.71640.65838.6134.18532.55430.2614.70513.44112.3229.7429.01100
Goodwill 000050.08650.145050.254-16.72750.34950.489-11.80750.70350.70649.85147.28747.34647.42700
Intangible Assets 00049.95750.08670.29250.22150.25467.01765.75164.44662.39160.43359.1148.0596.6565.8324.99500
Goodwill and Intangible Assets 50.14449.95749.91349.95750.08650.14550.22150.25450.2950.34950.48950.58450.70350.70650.77847.28747.34647.42700
Long Term Investments 00007.8266.9116.9114.9824.669.448.743.841.842.329.225.324.8000
Tax Assets 87.72700000-6.911-4.982-4.6-69.4-48.7-43.8-41.8-42.3-29.2-25.3-24.8000
Other Non-Current Assets 111.797203.928109.998110.381140.49144.3392.00186.79481.62173.50354.71849.50846.82749.37838.60844.00551.47236.669-10.470
Total Non-Current Assets 327.337330.102240.524242.189279.764264.62200.395194.764172.569162.462139.392132.646127.79114.789102.827103.614108.5693.107-10.470
Total Assets 1,189.5081,184.199970.301983.7981,124.1081,223.111,087.7141,072.6531,024.0181,024.991896.995911.284900.173920.046844.71851.478573.041585.89300
Liabilities & Equity:
Current Liabilities:
Account Payables 26.77727.35332.69325.15419.16334.69122.47322.79122.29330.10115.77639.5121.03615.80211.05510.1515.79916.95500
Short Term Debt 8.3927.4627.2286.28613.32211.4612.41613.73614.3087.13413.38613.0515.3220000000
Tax Payables 16.54117.72417.0138.045.6754.5295.7315.944.3913.1395.0034.2024.0642.5593.3542.6951.1160.67700
Deferred Revenue 403.849403.483311.009363.48370.229374.552297.13322.944322.057324.14257.659276.218274.633272.381221.918231.129223.192221.43900
Other Current Liabilities 39.92661.56150.9150.04551.93582.92860.84257.99265.53294.38576.67359.2164.51297.66174.8857.58148.32362.49300
Total Current Liabilities 495.485517.583418.853459.291460.324508.16398.592423.403428.581458.899368.497392.19379.567388.403311.207301.555288.43301.56400
Non-Current Liabilities:
Long Term Debt 42.5241.24343.9344.91944.93227.56223.5324.9849.8069.6337.6017.3118.30500080.86378.84800
Deferred Revenue Non-Current 4.719003.030.710.5061.1550.4880.6311.3711.0151.2633.4111.97211.85413.19816.6619.87300
Deferred Tax Liabilities Non-Current 00.0351.4751.4751.4741.4741.31.3031.291.2891.0891.0931.0961.1010.8690.870.870.86900
Other Non-Current Liabilities 7.01254.5189.0196.1165.7375.7044.9335.1894.8584.4671.3651.4121.4372.7212.3661.8711.9192.00600
Total Non-Current Liabilities 54.25154.55354.42455.5452.85335.24630.91831.96416.58516.7611.0711.07914.24815.79415.08915.939100.312101.59600
Total Liabilities 549.736572.136473.277514.831513.177543.406429.51455.367445.166475.659379.567403.269393.815404.197326.296317.494388.742403.1600
Equity:
Preferred Stock 0000000000000000424.992424.992245.970
Common Stock 0.0080.0080.0080.0080.0080.0080.0080.0080.0090.0090.0090.0090.0080.0080.0080.0080.0040.00400
Retained Earnings -627.633-626.065-724.846-735.376-565.97-474.787-466.351-483.318-493.803-496.611-496.705-490.845-466.918-441.63-418.455-389.224-355.977-341.2800
Accumulated Other Comprehensive Income/Loss -2.652-6.969-4.031-4.251-5.224-3.836-5.383-4.262-4.094-4.384-7.444-5.167-4.003-0.82-0.005-0.010.3870.787-268.3210
Other Total Stockholders Equity 1,270.0491,245.0891,225.8931,208.5861,182.1171,158.3191,129.931,104.8581,076.741,050.3181,021.5681,004.018977.271958.291936.866923.21114.89398.2300
Total Shareholders Equity 639.772612.063497.024468.967610.931679.704658.204617.286578.852549.332517.428508.015506.358515.849518.414533.984184.299182.733-22.3510
Total Equity 639.772612.063497.024468.967610.931679.704658.204617.286578.852549.332517.428508.015506.358515.849518.414533.984184.299182.733-22.3510
Total Liabilities & Shareholders Equity 1,189.5081,184.199970.301983.7981,124.1081,223.111,087.7141,072.6531,024.0181,024.991896.995911.284900.173920.046844.71851.478573.041585.893-22.3510