7Baggers

Nutanix Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Account Receivables  
 Cash and Cash Eq  
 Account Payables  
 Long-Term Debt  
20190430 20190731 20200131 20200430 20200731 20210131 20210430 20210731 20220131 20220430 20220731 20230131 20230430 20230731 20240131 20240430 20240731 20250131 20250430 20250731 00.190.380.580.770.961.151.34Billion

Nutanix Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-07-31 2025-04-30 2025-01-31 2024-07-31 2024-04-30 2024-01-31 2023-07-31 2023-04-30 2023-01-31 2022-07-31 2022-04-30 2022-01-31 2021-07-31 2021-04-30 2021-01-31 2020-07-31 2020-04-30 2020-01-31 2019-07-31 2019-04-30 2019-01-31 2018-07-31 2018-04-30 2018-01-31 2017-07-31 2017-04-30 2017-01-31 2016-07-31 
                              
  assets                            
  current assets:                            
  cash and cash equivalents769,502,000 872,599,000 1,072,161,000 655,270,000 598,027,000 679,246,000 512,929,000 439,918,000 406,601,000 402,850,000 386,721,000 400,749,000 285,723,000 274,676,000 298,701,000 318,737,000 262,331,000 211,693,000 396,678,000 445,119,000 466,010,000 305,975,000 376,789,000 610,446,000 138,359,000 200,774,000 226,006,000 99,209,000 
  short-term investments1,223,234,000 1,009,870,000 670,686,000 339,072,000 1,053,354,000 964,714,000 924,466,000 918,570,000 904,763,000 921,429,000 913,901,000 891,026,000 928,006,000 980,145,000 990,138,000 401,041,000 469,806,000 607,307,000 512,156,000 495,633,000 499,915,000 628,328,000 546,675,000 307,809,000 210,694,000 149,571,000 129,147,000 85,991,000 
  accounts receivable337,967,000 270,232,000 327,294,000 229,796,000 225,301,000 189,046,000 157,251,000 135,073,000 155,258,000 124,559,000 180,386,000 159,938,000 180,781,000 143,116,000 164,868,000 242,516,000 236,690,000 247,323,000 245,475,000 244,445,000 247,600,000 258,289,000 194,323,000  178,876,000    
  deferred commissions—current153,072,000 147,361,000 153,330,000 159,849,000 148,435,000 138,606,000 120,001,000 113,736,000 109,363,000 115,356,000 109,043,000 109,607,000 110,935,000 102,728,000 92,025,000 68,694,000 63,177,000 59,603,000 46,238,000 40,309,000 36,934,000 33,691,000 30,274,000 33,508,000 27,679,000 22,260,000 19,230,000 17,864,000 
  prepaid expenses and other current assets105,391,000 110,981,000 111,923,000 97,307,000 114,123,000 108,825,000 147,087,000 121,611,000 115,763,000 93,787,000 86,328,000 60,404,000 56,816,000 65,918,000 69,994,000 63,032,000 63,189,000 65,708,000 74,665,000 73,744,000 49,456,000 36,818,000 36,615,000 31,547,000 28,362,000 44,313,000 18,192,000 16,138,000 
  total current assets2,589,166,000 2,411,043,000 2,335,394,000 1,481,294,000 2,139,240,000 2,080,437,000 1,861,734,000 1,728,908,000 1,691,748,000 1,657,981,000 1,676,379,000 1,621,724,000 1,562,261,000 1,566,583,000 1,615,726,000 1,094,020,000 1,095,193,000 1,191,634,000 1,275,212,000 1,299,250,000 1,299,915,000 1,263,101,000 1,184,676,000 1,162,551,000 583,970,000 587,253,000 543,799,000 329,861,000 
  property and equipment142,814,000 143,711,000 138,753,000 136,180,000 114,785,000 115,224,000 111,865,000 115,465,000 112,584,000 113,440,000 117,494,000 117,609,000 131,621,000 133,392,000 131,971,000 143,172,000 149,688,000 143,430,000 136,962,000 134,562,000 125,924,000 85,111,000 76,322,000      
  operating lease right-of-use assets134,526,000 142,200,000 112,051,000 109,133,000 96,895,000 97,307,000 93,554,000 97,804,000 106,711,000 118,740,000 83,427,000 91,519,000 105,903,000 112,207,000 121,066,000 127,326,000 132,519,000 135,680,000           
  deferred commissions—non-current189,221,000 180,111,000 184,904,000 198,962,000 204,357,000 214,555,000 237,990,000 236,935,000 239,117,000 252,234,000 244,754,000 247,144,000 232,485,000 206,834,000 191,180,000 146,834,000 137,598,000 129,531,000 107,474,000 98,889,000 93,100,000 80,688,000 72,454,000 66,120,000 33,709,000 28,039,000 25,712,000 19,029,000 
  intangible assets2,615,000 2,809,000 3,443,000 5,153,000 6,019,000 6,884,000 4,893,000 7,334,000 9,941,000 15,829,000 19,848,000 23,866,000 32,012,000 36,357,000 40,702,000 49,392,000 53,738,000 58,083,000 66,773,000 71,118,000 75,473,000 45,366,000 47,790,000      
  goodwill185,235,000 185,235,000 185,235,000 185,235,000 185,235,000 185,235,000 184,938,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,260,000 185,180,000 185,180,000 184,819,000 87,759,000 88,324,000 16,672,000 16,672,000 16,636,000 16,784,000  
  other assets—non-current39,617,000 31,521,000 29,210,000 27,961,000 28,393,000 29,892,000 31,941,000 24,291,000 26,134,000 22,265,000 28,731,000 28,468,000 27,954,000 24,918,000 25,547,000 22,543,000 19,345,000 19,698,000 14,441,000 12,820,000 41,907,000 37,855,000 5,832,000 7,240,000 7,649,000 6,225,000 5,261,000 7,978,000 
  total assets3,283,194,000 3,096,630,000 2,988,990,000 2,143,918,000 2,774,924,000 2,729,534,000 2,526,915,000 2,395,997,000 2,371,495,000 2,365,749,000 2,355,893,000 2,315,590,000 2,277,496,000 2,265,551,000 2,311,452,000 1,768,547,000 1,773,341,000 1,863,316,000 1,786,042,000 1,801,819,000 1,821,138,000 1,599,880,000 1,475,398,000 1,345,196,000 726,073,000 718,307,000 670,717,000 399,086,000 
  liabilities and stockholders’ deficit                            
  current liabilities:                            
  accounts payable81,599,000 49,596,000 45,903,000 45,066,000 40,286,000 39,544,000 29,928,000 34,235,000 44,070,000 44,931,000 53,438,000 46,900,000 47,056,000 56,638,000 52,459,000 54,029,000 68,232,000 76,542,000 74,047,000 82,597,000 69,045,000 65,503,000 71,405,000 56,270,000 73,725,000 83,869,000 65,231,000 52,111,000 
  accrued compensation and benefits230,498,000 175,814,000 203,040,000 195,602,000 173,339,000 177,837,000 143,679,000 152,167,000 138,343,000 149,811,000 123,106,000 149,989,000 162,337,000 128,944,000 151,014,000 109,109,000 85,641,000 119,889,000 99,804,000 75,032,000 86,460,000 85,398,000 61,221,000 75,310,000 57,521,000 56,834,000 36,645,000 24,547,000 
  accrued expenses and other current liabilities24,187,000 22,463,000 22,428,000 24,967,000 22,486,000 22,401,000 109,269,000 108,965,000 108,258,000 49,232,000 48,039,000 37,589,000 39,404,000 28,070,000 26,130,000 25,924,000 21,829,000 23,874,000 28,797,000 20,019,000 16,424,000 31,682,000 11,645,000 11,241,000 9,414,000    
  deferred revenue—current1,054,023,000 1,008,731,000 1,024,364,000 954,543,000 923,559,000 893,889,000 823,665,000 806,002,000 787,495,000 720,993,000 721,853,000 703,803,000 636,421,000 605,031,000 578,664,000 534,572,000 503,311,000 472,680,000 396,667,000 361,432,000 337,424,000 275,648,000 243,770,000 231,731,000 233,498,000 207,018,000 186,255,000 130,569,000 
  operating lease liabilities—current23,234,000 24,951,000 21,819,000 24,163,000 23,884,000 29,151,000 29,567,000 31,481,000 34,101,000 39,801,000 44,171,000 43,585,000 42,670,000 42,411,000 41,309,000 36,569,000 34,371,000 31,668,000           
  total current liabilities1,413,541,000 1,281,555,000 1,317,554,000 1,244,341,000 1,183,554,000 1,162,822,000 1,136,108,000 1,132,850,000 1,112,267,000 1,150,224,000 1,135,915,000 1,127,026,000 927,888,000 861,094,000 849,576,000 760,203,000 713,384,000 724,653,000 599,315,000 539,080,000 509,353,000 458,231,000 388,041,000 374,552,000 374,158,000 356,739,000 294,535,000 212,764,000 
  deferred revenue—non-current1,058,731,000 1,020,467,000 995,173,000 918,163,000 823,891,000 814,605,000 771,367,000 737,338,000 738,816,000 724,545,000 710,127,000 683,068,000 676,502,000 669,005,000 667,627,000 648,869,000 618,749,000 583,904,000 513,377,000 476,830,000 442,435,000 355,559,000 296,119,000 246,269,000 292,573,000 255,982,000 234,361,000 165,896,000 
  operating lease liabilities—non-current115,754,000 120,351,000 93,828,000 90,359,000 79,028,000 73,720,000 68,940,000 73,036,000 80,585,000 89,782,000 54,373,000 66,016,000 86,599,000 96,342,000 107,784,000 116,794,000 123,470,000 129,420,000           
  convertible senior notes1,343,818,000 1,342,601,000 1,341,388,000 570,073,000 1,271,966,000 1,250,434,000 1,218,165,000 1,207,296,000 1,186,764,000 1,156,205,000 1,146,050,000 1,126,461,000 1,055,694,000 1,038,013,000 1,011,725,000 490,222,000 482,199,000 474,308,000 458,910,000 451,399,000 444,012,000 429,598,000 422,567,000      
  other liabilities—non-current45,870,000 43,090,000 48,721,000 49,130,000 35,945,000 39,635,000 39,754,000 34,544,000 35,745,000 35,161,000 31,294,000 38,636,000 42,679,000 35,608,000 35,842,000 27,436,000 19,578,000 17,133,000 27,547,000 29,064,000 39,807,000 29,713,000 14,090,000 7,815,000 10,289,000 9,163,000 8,429,000 1,103,000 
  total liabilities3,977,714,000 3,808,064,000 3,796,664,000 2,872,066,000 3,394,384,000 3,341,216,000 3,234,334,000 3,185,064,000 3,154,177,000 3,155,917,000 3,077,759,000 3,041,207,000 3,289,537,000 3,012,325,000 3,069,844,000 2,043,524,000 1,957,380,000 1,929,418,000 1,599,149,000 1,496,373,000 1,435,607,000 1,273,101,000 1,120,817,000 1,044,717,000 677,871,000 623,069,000 538,834,000 465,022,000 
  commitments and contingencies                            
  stockholders’ deficit:                            
  common stock7,000 7,000 7,000 7,000 6,000 6,000 6,000 6,000 6,000 6,000 5,000 5,000 5,000 5,000 5,000  5,000 5,000 5,000 5,000 4,000 4,000 4,000 4,000 4,000 4,000 4,000 1,000 
  additional paid-in capital4,200,466,000 4,179,565,000 4,120,529,000 4,118,898,000 4,086,671,000 4,039,779,000 3,930,668,000 3,834,845,000 3,771,779,000 3,583,928,000 3,501,311,000 3,382,214,000 2,615,317,000 2,522,302,000 2,386,579,000  2,151,175,000 2,028,928,000 1,835,528,000 1,760,083,000 1,630,834,000 1,355,907,000 1,296,575,000 1,156,282,000 948,134,000 904,507,000 829,249,000 65,629,000 
  accumulated other comprehensive income700,000 3,391,000 404,000 146,000  879,000       -8,000 92,000 557,000  1,625,000 1,138,000 669,000 329,000         
  accumulated deficit-4,895,693,000 -4,894,397,000 -4,928,614,000 -4,847,199,000 -4,702,434,000 -4,652,346,000 -4,632,922,000 -4,619,635,000 -4,548,666,000 -4,368,026,000 -4,217,036,000 -4,105,401,000 -3,627,355,000 -3,269,173,000 -3,145,533,000  -2,336,844,000 -2,096,173,000 -1,649,309,000 -1,454,971,000 -1,245,158,000 -1,028,130,000 -940,761,000 -855,087,000 -899,830,000 -809,177,000 -697,200,000 -441,933,000 
  total stockholders’ deficit-694,520,000 -711,434,000 -807,674,000 -728,148,000 -619,460,000 -611,682,000 -707,419,000 -789,067,000 -782,682,000 -790,168,000 -721,866,000 -725,617,000 -1,012,041,000 -746,774,000 -758,392,000              
  total liabilities and stockholders’ deficit3,283,194,000 3,096,630,000 2,988,990,000 2,143,918,000 2,774,924,000 2,729,534,000 2,526,915,000 2,395,997,000 2,371,495,000 2,365,749,000 2,355,893,000 2,315,590,000 2,277,496,000 2,265,551,000 2,311,452,000              
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2023 and april 30, 2024; no shares issued and outstanding as of july 31, 2023 and april 30, 2024                            
  accumulated other comprehensive loss    -3,703,000  -5,171,000 -4,283,000 -5,801,000 -6,076,000 -6,146,000 -2,435,000         -149,000 -1,002,000 -1,237,000 -720,000 -106,000 -96,000 -170,000 -12,000 
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2023 and january 31, 2024; no shares issued and outstanding as of july 31, 2023 and january 31, 2024                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2023 and october 31, 2023; no shares issued and outstanding as of july 31, 2023 and october 31, 2023                            
  convertible senior notes, net—current         145,456,000 145,308,000 145,160,000                 
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2022 and april 30, 2023; no shares issued and outstanding as of july 31, 2022 and april 30, 2023                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2022 and january 31, 2023; no shares issued and outstanding as of july 31, 2022 and january 31, 2023                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2022 and october 31, 2022; no shares issued and outstanding as of july 31, 2022 and october 31, 2022                            
  derivative liability            500,175,000 312,263,000 397,290,000              
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2021 and april 30, 2022; no shares issued and outstanding as of july 31, 2021 and april 30, 2022                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2021 and january 31, 2022; no shares issued and outstanding as of july 31, 2021 and january 31, 2022                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2020 and 2021; no shares issued and outstanding as of july 31, 2020 and 2021                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2020 and april 30, 2021; no shares issued and outstanding as of july 31, 2020 and april 30, 2021                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2020 and january 31, 2021; no shares issued and outstanding as of july 31, 2020 and january 31, 2021                            
  liabilities and stockholders’ equity                            
  stockholders’ equity                            
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2019 and april 30, 2020; no shares issued and outstanding as of july 31, 2019 and april 30, 2020                            
  total stockholders’ equity                -184,039,000 -66,102,000 186,893,000 305,446,000 385,531,000 326,779,000 354,581,000 300,479,000     
  total liabilities and stockholders’ equity                1,773,341,000 1,863,316,000 1,786,042,000 1,801,819,000 1,821,138,000 1,599,880,000 1,475,398,000 1,345,196,000     
  preferred stock, par value of 0.000025 per share— 200,000 shares authorized as of july 31, 2019 and january 31, 2020; no shares issued and outstanding as of july 31, 2019 and january 31, 2020                            
  stockholders’ equity:                            
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2018 and 2019; no shares issued and outstanding as of july 31, 2018 and 2019                            
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2018 and april 30, 2019; no shares issued and outstanding as of july 31, 2018 and april 30, 2019                            
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2018 and january 31, 2019; no shares issued and outstanding as of july 31, 2018 and january 31, 2019                            
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2018 and october 31, 2018; no shares issued and outstanding as of july 31, 2018 and october 31, 2018                            
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2017 and april 30, 2018; no shares issued and outstanding as of july 31, 2017 and april 30, 2018                            
  accounts receivable—net                       179,241,000  170,335,000 151,224,000 110,659,000 
  property and equipment—net                       69,074,000 58,072,000 53,545,000 51,944,000 42,218,000 
  intangible assets—net                       23,539,000  26,609,000 27,217,000  
  convertible senior notes—net                       415,651,000     
  early exercised stock options liability                       430,000 851,000 1,185,000 1,509,000 2,320,000 
  preferred stock, par value of 0.000025 per share— 200,000,000 shares authorized as of july 31, 2017 and january 31, 2018; no shares issued and outstanding as of july 31, 2017 and january 31, 2018                            
  intangible assets-net                        26,001,000    
  liabilities, convertible preferred stock and stockholders’ (deficit) equity                            
  senior notes                           73,260,000 
  convertible preferred stock warrant liability                           9,679,000 
  convertible preferred stock, par value of 0.000025 per share— 78,263,309 and no shares authorized as of july 31, 2016 and 2017; 76,319,511 and no shares issued and outstanding as of july 31, 2016 and 2017; aggregate liquidation preference of 370,244 as of july 31, 2016                            
  stockholders’ (deficit) equity:                            
  preferred stock, par value of 0.000025 per share— no and 200,000,000 shares authorized as of july 31, 2016 and 2017; no shares issued and outstanding as of july 31, 2016 and 2017                            
  total stockholders’ (deficit) equity                        48,202,000 95,238,000 131,883,000 -376,315,000 
  total liabilities, convertible preferred stock and stockholders’ (deficit) equity                        726,073,000 718,307,000 670,717,000 399,086,000 
  accrued expenses and other liabilities                         9,018,000 6,404,000 5,537,000 
  convertible preferred stock                           310,379,000 
  convertible preferred stock:                            

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