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Financial Statements · From SEC 10-K & 10-Q XBRL Filings

CrowdStrike Holdings Inc. Revenue & Financial Statements

CrowdStrike Holdings Inc. reported revenue of $4.8B for the fiscal year ended January 31, 2026, up 21.7% year over year, with net income of $(161.2M) and diluted EPS of $-0.65.

Company
CrowdStrike Holdings Inc. CRWD · NASDAQ
Latest fiscal year
FY ended Jan 31, 2026
Statements
Income · Balance Sheet · Cash Flow — 5 fiscal years, 8 quarters

Income Statement

Annual, as reported in 10-K filings. Values in USD.

USDFY2022FY2023FY2024FY2025FY2026
Revenue1.5B2.2B3.1B4.0B4.8B
Cost of revenue383.2M601.2M755.7M991.5M1.2B
Gross profit1.1B1.6B2.3B3.0B3.6B
Operating income(142.5M)(190.1M)(2.0M)(120.4M)(293.3M)
Pretax income19.3M35.2M23.6M(7.9M)24.5M
Net income(238.4M)(183.0M)88.7M(27.2M)(161.2M)
Diluted EPS-1.03-0.790.37-0.08-0.65
EBITDA

Quarterly

USDQ2 '23Q3 '23Q1 '24Q2 '24Q3 '24Q1 '25Q2 '25Q3 '25
Revenue731.6M786.0M921.0M963.9M1.0B1.1B1.2B1.2B
Cost of revenue182.9M195.0M225.0M237.4M255.1M289.1M310.3M307.8M
Gross profit548.7M591.0M696.0M726.5M755.1M814.3M858.7M926.4M
Operating income(15.4M)3.2M6.9M13.7M(55.7M)(124.7M)(113.0M)(69.4M)
Pretax income13.1M36.3M53.9M57.6M(10.5M)(89.9M)(71.7M)(23.3M)
Net income9.2M20.5M39.7M48.7M(15.7M)(94.8M)(77.5M)(38.5M)
Diluted EPS0.030.110.170.19-0.07-0.44-0.31-0.14
EBITDA

Balance Sheet

Fiscal year-end snapshots. Values in USD.

USDFY2022FY2023FY2024FY2025FY2026
Total assets3.6B5.0B6.6B8.7B11.1B
Current assets2.6B3.6B4.8B6.1B7.4B
Cash & equivalents2.5B3.4B4.3B5.2B
Total liabilities2.6B3.5B4.3B5.4B6.6B
Current liabilities1.4B2.1B2.7B3.5B4.2B
Long-term debt739.5M741.0M742.5M744.0M745.5M
Total debt739.5M741.0M742.5M744.0M745.5M
Stockholders’ equity1.0B1.5B2.3B3.3B4.4B
Net debt(1.7B)(2.6B)(3.6B)(4.5B)

Cash Flow Statement

Annual, as reported in 10-K filings. Values in USD.

USDFY2022FY2023FY2024FY2025FY2026
Operating cash flow574.8M941.0M1.2B1.4B1.6B
Investing cash flow(564.5M)(556.7M)(340.6M)(536.6M)(764.5M)
Financing cash flow72.5M77.4M93.2M107.2M132.5M
Capital expenditure112.1M235.0M176.5M254.9M302.1M
Free cash flow462.6M706.0M989.7M1.1B1.3B
Dividends paid
Stock-based compensation310.0M526.5M631.5M865.4M1.1B

Figures are parsed from SEC XBRL company facts and may be derived where issuers report year-to-date values (quarterly figures differenced; Q4 computed as FY minus Q3). Fiscal periods follow each company's fiscal calendar, not calendar years. Historical fact, not investment advice — verify with official SEC filings.

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