7Baggers

CrowdStrike Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Account Receivables  
 Cash and Cash Eq  
 Account Payables  
 Deferred Revenue  
 Long-Term Debt  
20201031 20210131 20210430 20210731 20211031 20220131 20220430 20220731 20221031 20230131 20230430 20230731 20231031 20240131 20240430 20240731 20241031 20250131 20250430 20250731 00.711.422.132.843.554.264.97Billion

CrowdStrike Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 
                            
  assets                          
  current assets:                          
  cash and cash equivalents4,972,436,000 4,614,153,000 4,323,295,000 4,260,324,000 4,038,536,000 3,702,437,000 3,375,069,000 2,968,872,000 3,167,215,000 2,829,677,000 2,455,369,000 2,466,551,000 2,318,858,000 2,152,736,000 1,996,633,000 1,907,508,000 1,787,051,000 1,684,997,000 1,918,608,000 1,059,926,000 1,064,734,000 1,004,991,000 264,798,000 743,605,000 732,808,000 92,993,000 
  accounts receivable886,557,000 808,694,000 1,128,564,000 813,922,000 661,045,000 702,856,000 853,105,000 561,872,000 539,463,000 461,092,000 626,181,000 485,313,000 418,799,000 369,130,000 368,145,000 283,272,000 266,540,000 211,233,000 239,199,000 172,775,000 149,236,000 144,187,000 164,987,000 145,694,000 115,256,000 87,355,000 
  deferred contract acquisition costs, current372,543,000 351,805,000 347,042,000 294,229,000 251,246,000 244,651,000 246,370,000 209,216,000 197,111,000 186,901,000 186,855,000 162,260,000 148,125,000 135,681,000 126,822,000 108,636,000 95,470,000 85,388,000 80,850,000 62,422,000 53,837,000 53,410,000 42,971,000 35,924,000 34,017,000 26,193,000 
  prepaid expenses and other current assets302,818,000 296,146,000 314,444,000 203,852,000 230,821,000 191,678,000 183,172,000 141,651,000 146,597,000 131,100,000 121,862,000 89,489,000 90,198,000 75,511,000 79,352,000 60,670,000 102,964,000 56,385,000 53,617,000 45,673,000 48,174,000 45,874,000 51,614,000 37,914,000 29,348,000 22,644,000 
  total current assets6,534,354,000 6,070,798,000 6,113,345,000 5,572,327,000 5,181,648,000 4,841,622,000 4,757,307,000 4,079,133,000 4,050,386,000 3,708,770,000 3,640,267,000 3,203,613,000 2,975,980,000 2,733,058,000 2,570,952,000 2,360,086,000 2,252,025,000 2,038,003,000 2,292,274,000 1,340,796,000 1,315,981,000 1,248,462,000 1,171,636,000 1,053,220,000 1,005,432,000 311,251,000 
  strategic investments72,482,000 71,339,000 72,544,000 68,246,000 58,246,000 58,419,000 56,244,000 59,541,000 59,541,000 57,877,000 47,270,000 46,395,000 35,585,000 28,665,000 23,632,000 22,665,000 14,165,000 8,165,000 2,500,000 2,500,000 2,000,000 1,000,000 1,000,000    
  property and equipment869,240,000 826,069,000 788,640,000 746,567,000 648,474,000 627,381,000 620,172,000 581,037,000 561,587,000 523,721,000 492,335,000 430,030,000 383,012,000 316,309,000 260,577,000 242,224,000 215,832,000 191,310,000 167,014,000 162,371,000 153,303,000 139,096,000 136,078,000 129,504,000 107,989,000 86,349,000 
  operating lease right-of-use assets63,399,000 39,190,000 42,763,000 46,289,000 45,897,000 48,598,000 48,211,000 50,941,000 46,179,000 50,459,000 39,936,000 25,621,000 28,463,000 28,701,000 31,735,000 33,893,000 34,854,000 36,683,000 36,484,000 38,376,000 40,454,000 35,738,000     
  deferred contract acquisition costs, noncurrent517,088,000 496,045,000 500,908,000 421,773,000 341,539,000 330,004,000 335,933,000 273,859,000 261,574,000 254,397,000 260,233,000 218,635,000 202,441,000 197,261,000 192,358,000 162,309,000 140,443,000 125,392,000 117,906,000 91,585,000 81,186,000 69,908,000 71,235,000 58,260,000 41,766,000 38,004,000 
  goodwill913,325,000 913,285,000 912,805,000 722,016,000 721,996,000 721,973,000 638,041,000 637,678,000 430,697,000 430,755,000 430,645,000 430,285,000 416,066,000 416,228,000 416,445,000 373,889,000 374,310,000 374,581,000 83,566,000 83,132,000 8,131,000 7,652,000 7,722,000 7,794,000 7,780,000 7,809,000 
  intangible assets117,858,000 125,486,000 133,114,000 109,354,000 115,686,000 122,024,000 114,518,000 109,423,000 79,139,000 83,215,000 86,889,000 89,500,000 89,840,000 93,945,000 97,336,000 82,870,000 85,580,000 88,851,000 15,677,000 16,356,000 347,000 419,000 527,000 637,000 738,000 879,000 
  other long-term assets201,113,000 178,150,000 137,459,000 96,386,000 88,988,000 91,964,000 76,094,000 39,444,000 31,355,000 28,664,000 28,965,000 25,364,000 22,849,000 21,668,000 25,346,000 21,681,000 18,836,000 18,186,000 17,112,000        
  total assets9,288,859,000 8,720,362,000 8,701,578,000 7,782,958,000 7,202,474,000 6,841,985,000 6,646,520,000 5,831,056,000 5,520,458,000 5,137,858,000 5,026,540,000 4,469,443,000 4,154,236,000 3,835,835,000 3,618,381,000 3,299,617,000 3,136,045,000 2,881,171,000 2,732,533,000 1,749,509,000 1,616,952,000 1,519,396,000 1,404,906,000 1,256,054,000 1,171,586,000 457,361,000 
  liabilities and stockholders’ equity                          
  current liabilities:                          
  accounts payable120,554,000 16,404,000 130,887,000 79,214,000 21,067,000 21,299,000 28,180,000 56,968,000 37,073,000 16,900,000 45,372,000 89,289,000 53,817,000 11,024,000 47,634,000 7,167,000 19,642,000 3,468,000 12,065,000 7,494,000 10,118,000 6,528,000 1,345,000 5,244,000 1,126,000 9,915,000 
  accrued expenses210,529,000 166,770,000 191,349,000 176,598,000 101,300,000 102,116,000 125,896,000 146,050,000 122,419,000 91,494,000 137,884,000 88,918,000 101,181,000 94,966,000 83,382,000 76,758,000 70,162,000 49,627,000 51,117,000 39,975,000 19,211,000 26,396,000 30,355,000 29,460,000 32,568,000 31,185,000 
  accrued payroll and benefits299,521,000 286,607,000 319,243,000 324,889,000 205,429,000 216,695,000 234,624,000 169,768,000 138,471,000 151,099,000 168,767,000 122,558,000 102,687,000 116,406,000 104,563,000 94,738,000 95,462,000 79,099,000 71,907,000 56,468,000 36,099,000 37,458,000 36,810,000 36,905,000 20,057,000 12,683,000 
  operating lease liabilities, current12,860,000 11,964,000 13,811,000 15,658,000 17,031,000 16,020,000 14,150,000 14,430,000 16,133,000 16,215,000 13,046,000 10,423,000 10,316,000 9,967,000 9,820,000 9,706,000 9,374,000 9,333,000 8,977,000 8,646,000 8,643,000 6,673,000     
  deferred revenue2,781,196,000 2,747,137,000 2,733,005,000 2,363,258,000 2,348,464,000 2,309,329,000 2,270,757,000 1,942,750,000 1,894,005,000 1,788,304,000 1,727,484,000 1,483,223,000 1,363,558,000 1,249,198,000 1,136,502,000 974,571,000 882,969,000 786,793,000 701,988,000 579,671,000 515,081,000 465,569,000 412,985,000 335,801,000 279,951,000 244,271,000 
  other current liabilities51,278,000 53,652,000 72,755,000 40,763,000 35,028,000 18,227,000 23,672,000 20,451,000 21,362,000 16,052,000 16,519,000 22,642,000 17,691,000 15,542,000 24,929,000 78,607,000 59,219,000 54,445,000 17,499,000 9,785,000 14,140,000 13,020,000 11,601,000 8,194,000 8,079,000 4,667,000 
  total current liabilities3,475,938,000 3,282,534,000 3,461,050,000 3,000,380,000 2,728,319,000 2,683,686,000 2,697,279,000 2,350,417,000 2,229,463,000 2,080,064,000 2,109,072,000 1,817,053,000 1,649,250,000 1,497,103,000 1,406,830,000 1,241,547,000 1,136,828,000 982,765,000 863,553,000 702,039,000 603,292,000 555,644,000 493,096,000 415,604,000 341,781,000 302,721,000 
  long-term debt744,727,000 744,355,000 743,983,000 743,610,000 743,238,000 742,866,000 742,494,000 742,122,000 741,750,000 741,377,000 741,005,000 740,633,000 740,261,000 739,889,000 739,517,000 739,145,000 738,772,000 738,400,000 738,029,000        
  deferred revenue, noncurrent1,053,661,000 1,024,258,000 995,672,000 833,260,000 744,733,000 760,050,000 783,342,000 600,366,000 613,637,000 615,487,000 627,629,000 532,316,000 480,594,000 443,399,000 392,819,000 313,625,000 281,388,000 235,198,000 209,907,000 183,003,000 174,759,000 170,404,000 158,183,000 111,838,000 89,811,000 70,941,000 
  operating lease liabilities, noncurrent52,941,000 29,079,000 31,107,000 32,683,000 31,704,000 34,090,000 36,230,000 38,371,000 32,688,000 36,774,000 29,567,000 17,984,000 21,340,000 22,197,000 25,379,000 27,895,000 29,378,000 31,458,000 31,986,000 34,006,000 36,134,000 32,907,000     
  other liabilities, noncurrent166,901,000 149,122,000 150,849,000 77,414,000 63,890,000 52,511,000 50,086,000 38,933,000 32,820,000 29,797,000 31,833,000 23,825,000 19,444,000 16,250,000 16,193,000 17,835,000 38,278,000 39,953,000 17,184,000 15,676,000 10,752,000 7,288,000 11,020,000 11,570,000 11,897,000 10,964,000 
  total liabilities5,494,168,000 5,229,348,000 5,382,661,000 4,687,347,000 4,311,884,000 4,273,203,000 4,309,431,000 3,770,209,000 3,650,358,000 3,503,499,000 3,539,106,000 3,131,811,000 2,910,889,000 2,718,838,000 2,580,738,000 2,340,047,000 2,224,644,000 2,027,774,000 1,860,659,000 934,724,000 824,937,000 766,243,000 662,299,000 539,012,000 443,489,000 384,626,000 
  commitments and contingencies                          
  stockholders’ equity                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2025 and january 31, 2025; no shares issued and outstanding as of july 31, 2025 and january 31, 2025.                          
  class a common stock125,000 125,000 124,000 124,000 123,000 122,000 121,000 120,000 119,000 118,000 118,000 117,000 116,000 116,000 115,000 115,000 114,000 113,000 112,000 111,000 110,000 108,000 106,000 103,000 103,000  
  additional paid-in capital5,016,544,000 4,633,211,000 4,367,070,000 4,045,660,000 3,824,897,000 3,556,194,000 3,364,328,000 3,146,645,000 2,976,375,000 2,752,716,000 2,612,705,000 2,424,038,000 2,276,704,000 2,103,054,000 1,991,807,000 1,870,120,000 1,775,087,000 1,662,199,000 1,598,259,000 1,523,873,000 1,476,323,000 1,409,758,000 1,378,479,000 1,326,116,000 1,302,098,000 36,670,000 
  accumulated deficit-1,265,989,000 -1,188,314,000 -1,078,107,000 -985,825,000 -969,003,000 -1,016,016,000 -1,058,836,000 -1,112,535,000 -1,139,200,000 -1,147,672,000 -1,148,163,000 -1,100,682,000 -1,045,726,000 -996,441,000 -964,918,000 -922,938,000 -872,483,000 -815,165,000 -730,116,000 -711,114,000 -686,583,000 -656,709,000 -637,487,000 -609,079,000 -573,574,000 -521,685,000 
  accumulated other comprehensive income6,000,000 5,855,000       913,000 139,000     -1,240,000 885,000 1,550,000 2,117,000 2,319,000 615,000 1,115,000 -1,004,000 1,009,000 -98,000 -530,000 -186,000 
  total crowdstrike holdings, inc. stockholders’ equity3,756,680,000 3,450,877,000 3,279,494,000 3,057,933,000 2,852,915,000 2,535,540,000 2,303,950,000 2,028,950,000 1,838,207,000 1,605,301,000 1,463,641,000 1,314,289,000 1,225,419,000 1,102,541,000 1,025,764,000 948,182,000 904,268,000 849,264,000 870,574,000 813,485,000 790,965,000 752,153,000 742,107,000    
  non-controlling interest38,011,000 40,137,000 39,423,000 37,678,000 37,675,000 33,242,000 33,139,000 31,897,000 31,893,000 29,058,000 23,793,000 23,343,000 17,928,000 14,456,000 11,879,000 11,388,000 7,133,000 4,133,000 1,300,000 1,300,000 1,050,000 1,000,000 500,000    
  total stockholders’ equity3,794,691,000 3,491,014,000 3,318,917,000 3,095,611,000 2,890,590,000 2,568,782,000 2,337,089,000 2,060,847,000 1,870,100,000 1,634,359,000 1,487,434,000 1,337,632,000 1,243,347,000 1,116,997,000 1,037,643,000 959,570,000 911,401,000 853,397,000 871,874,000 814,785,000 792,015,000 753,153,000 742,607,000 717,042,000 728,097,000  
  total liabilities and stockholders’ equity9,288,859,000 8,720,362,000 8,701,578,000 7,782,958,000 7,202,474,000 6,841,985,000 6,646,520,000 5,831,056,000 5,520,458,000 5,137,858,000 5,026,540,000 4,469,443,000 4,154,236,000 3,835,835,000 3,618,381,000 3,299,617,000 3,136,045,000 2,881,171,000 2,732,533,000 1,749,509,000 1,616,952,000 1,519,396,000     
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2025 and january 31, 2025; no shares issued and outstanding as of april 30, 2025 and january 31, 2025.                          
  short-term investments      99,591,000 197,522,000  100,000,000 250,000,000                
  preferred stock, 0.0005 par value; 100,000 shares authorized as of january 31, 2025 and january 31, 2024; no shares issued and outstanding as of january 31, 2025 and january 31, 2024.                          
  accumulated other comprehensive loss  -9,593,000 -2,026,000 -3,102,000 -4,760,000 -1,663,000 -5,280,000   -1,019,000 -9,184,000 -5,675,000 -4,188,000             
  preferred stock, 0.0005 par value; 100,000 shares authorized as of october 31, 2024 and january 31, 2024; no shares issued and outstanding as of october 31, 2024 and january 31, 2024.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2024 and january 31, 2024; no shares issued and outstanding as of july 31, 2024 and january 31, 2024.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2024 and january 31, 2024; no shares issued and outstanding as of april 30, 2024 and january 31, 2024.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of january 31, 2024 and january 31, 2023; no shares issued and outstanding as of january 31, 2024 and january 31, 2023.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of october 31, 2023 and january 31, 2023; no shares issued and outstanding as of october 31, 2023 and january 31, 2023.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2023 and january 31, 2023; no shares issued and outstanding as of july 31, 2023 and january 31, 2023.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2023 and january 31, 2023; no shares issued and outstanding as of april 30, 2023 and january 31, 2023.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of january 31, 2023 and january 31, 2022; no shares issued and outstanding as of january 31, 2023 and january 31, 2022                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of october 31, 2022 and january 31, 2022; no shares issued and outstanding as of october 31, 2022 and january 31, 2022.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2022 and january 31, 2022; no shares issued and outstanding as of july 31, 2022 and january 31, 2022.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2022 and january 31, 2022; no shares issued and outstanding as of april 30, 2022 and january 31, 2022.                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of january 31, 2022 and january 31, 2021; no shares issued and outstanding as of january 31, 2022 and january 31, 2021                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of october 31, 2021 and january 31, 2021; no shares issued and outstanding as of october 31, 2021 and january 31, 2021                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2021 and january 31, 2021; no shares issued and outstanding as of july 31, 2021 and january 31, 2021                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2021 and january 31, 2021; no shares issued and outstanding as of april 30, 2021 and january 31, 2021                          
  marketable securities                      647,266,000 90,083,000 94,003,000 82,066,000 
  preferred stock, 0.0005 par value; 100,000 shares authorized as of january 31, 2021 and january 31, 2020; no shares issued and outstanding as of january 31, 2021 and january 31, 2020                          
  other assets                   14,393,000 15,550,000 17,121,000 16,708,000 6,639,000 7,881,000 13,069,000 
  preferred stock, 0.0005 par value; 100,000 shares authorized as of october 31, 2020 and january 31, 2020; no shares issued and outstanding as of october 31, 2020 and january 31, 2020                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of july 31, 2020 and january 31, 2020; no shares issued and outstanding as of july 31, 2020 and january 31, 2020                          
  preferred stock, 0.0005 par value; 100,000 shares authorized as of april 30, 2020 and january 31, 2020; no shares issued and outstanding as of april 30, 2020 and january 31, 2020                          
  liabilities, redeemable convertible preferred stock, and stockholders’ equity                          
  redeemable convertible preferred stock                         557,912,000 
  preferred stock, 0.0005 par value; 100,000 shares and no shares authorized as of january 31, 2020 and january 31, 2019, respectively; no shares issued and outstanding as of january 31, 2020 and january 31, 2019                          
  common stock                         24,000 
  total liabilities, redeemable convertible preferred stock, and stockholders’ equity                      1,404,906,000 1,256,054,000 1,171,586,000  
  preferred stock, 0.0005 par value; 100,000 shares and no shares authorized as of october 31, 2019 and january 31, 2019, respectively; no shares issued and outstanding as of october 31, 2019 and january 31, 2019, respectively                          
  preferred stock, 0.0005 par value; 100,000 shares and no shares authorized as of july 31, 2019 and january 31, 2019, respectively; no shares issued and outstanding as of july 31, 2019 and january 31, 2019, respectively                          
  liabilities, redeemable convertible preferred stock, and stockholders’ deficit                          
  stockholders’ deficit                          
  total stockholders’ deficit                         -485,177,000 
  total liabilities, redeemable convertible preferred stock, and stockholders’ deficit                         457,361,000 

We provide you with 20 years of balance sheets for CrowdStrike stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of CrowdStrike. Explore the full financial landscape of CrowdStrike stock with our expertly curated balance sheets.

The information provided in this report about CrowdStrike stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.