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CRWD - CrowdStrike Holdings...

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CrowdStrike Holdings, Inc.

CRWD

NASDAQ

CrowdStrike Holdings, Inc. provides cloud-delivered protection across endpoints and cloud workloads, identity, and data. It offers threat intelligence, managed security services, IT operations management, threat hunting, Zero Trust identity protection, and log management. The company primarily sells subscriptions to its Falcon platform and cloud modules through its direct sales team that leverages its network of channel partners. It serves customers worldwide. The company was incorporated in 2011 and is based in Austin, Texas.

365.22 USD

2.53 (0.693%)

CRWD Financial Statements

Year

2025

2024

2023

2022

CF from Operating Activities

1.38B

1.17B

941.01M

574.78M

Net Income

-16.6M

89.33M

-182.28M

-232.38M

Depreciation & Amortization

213.96M

145.25M

93.81M

68.81M

Deferred Income Taxes

-9.9M

-3.39M

1.31M

-13.96M

Stock Based Compensation

865.42M

631.52M

526.5M

309.95M

Change in Working Capital

0

51.53M

320.44M

321.72M

Accounts Receivable

-274.22M

-217.7M

-258.11M

-125.35M

Inventory

0

0

0

0

Accounts Payable

84.94M

-18.9M

-15.46M

33.25M

Other Working Capital

0

288.12M

594.01M

413.83M

Other Non-Cash Items

328.85M

251.97M

181.23M

120.63M

CF from Investing Activities

-536.59M

-340.65M

-556.66M

-564.52M

Investments in Property, Plant & Equipment

-254.85M

-176.53M

-266.44M

-133.69M

Net Acquisitions

-310.26M

-239.03M

-18.35M

-414.52M

Investment Purchases

-22.42M

-217.07M

-271.87M

-16.31M

Sales/Maturities of Investments

109.91M

350.28M

31.42M

21.55M

Other Investing Activites

-58.97M

-58.3M

-31.42M

-21.55M

CF from Financing Activities

107.21M

93.16M

66.48M

72.53M

Debt Repayment

0

0

-1.59M

0

Common Stock Issued

0

85.07M

68.07M

66.18M

Common Stock Repurchased

99.62M

76.38M

59.42M

50.28M

Dividends Paid

0

0

0

0

Other Financing Activites

107.21M

93.16M

79.03M

72.53M

Free Cash Flow

1.13B

929.1M

674.57M

441.1M

Operating Cash Flow

1.38B

1.17B

941.01M

574.78M

Capital Expenditures

-254.85M

-237.11M

-266.44M

-133.69M

Cash at Beginning of Period

3.38B

2.46B

2B

1.92B

Cash at End of Period

4.32B

3.38B

2.46B

2B

Net Change In Cash

947.07M

920.67M

460.29M

78.03M

Retained Earning Schedule

Year

2025

2024

2023

2022

Retained Earnings (Previous Year)

-1.06B

-1.15B

-964.92M

-730.12M

Net Income

-19.27M

89.33M

-182.28M

-232.38M

Stock Repurchases

99.62M

76.38M

59.42M

50.28M

Dividend Paid

0

0

0

0

Retained Earnings

-1.08B

-1.06B

-1.15B

-964.92M

Other Distributions

80.34M

165.7M

-123.83M

-184.53M

PPE Schedule

Year

2025

2024

2023

2022

Gross PPE

831.4M

668.38M

532.27M

292.31M

Annual Depreciation

213.96M

145.25M

93.81M

68.81M

Capital Expenditure

-254.85M

-237.11M

-266.44M

-133.69M

Net PPE

872.3M

760.24M

704.9M

357.19M

Intangible and Goodwill Schedule

Year

2025

2024

2023

2022

Acquisitions and Adjustments

274.76M

207.4M

14.2M

332.88M

Goodwill (Previous Year)

638.04M

430.64M

416.44M

83.57M

Goodwill

912.8M

638.04M

430.64M

416.44M

All figures are in USD.

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