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CXM — Sprinklr, Inc.

NYSE

Sprinklr, Inc.

CompareBack to Screener
$5.20
-0.02(-0.38%)
O
5.20
H
5.26
L
5.13
V
2.15M
⏱️ End-of-day dataAs of Oct 2, 2026

CXM — Financial Statements

Historical 2-Year Statements
Financial Metric / Line ItemQ1 2027Q4 2026Q3 2026Q2 2026Q1 2026Q4 2025
Fiscal Date2026-04-302026-01-312025-10-312025-07-312025-04-302025-01-31
Periodquarterlyquarterlyquarterlyquarterlyquarterlyquarterly
Year2,027.002,026.002,026.002,026.002,026.002,025.00
Cash And Cash Equivalents163,333.00162,969.00189,591.00125,365.00126,421.00145,270.00
Other Short Term Investments279,475.00339,537.00290,754.00348,626.00443,813.00338,189.00
Accounts Receivable195,790.00278,081.00150,187.00202,473.00202,788.00285,656.00
Other Receivables9,102.0010,580.0010,442.004,286.001,971.001,860.00
Prepaid Assets10,653.0011,707.0028,004.0026,828.0039,444.0038,745.00
Other Current Assets20,188.0021,970.007,326.006,227.0026.00852.00
Total Current Assets745,295.00887,980.00735,639.00767,176.00862,171.00854,097.00
Properties102,952.000.00105,571.00108,099.00103,623.0044,626.00
Accumulated Depreciation-28,200.00-84,698.00-27,700.00-76,500.00-72,800.00-67,532.00
Goodwill50,194.0050,144.0050,176.0050,155.0050,144.0049,957.00
Other Non Current Assets191,606.00190,389.00190,203.00192,865.00199,524.00203,928.00
Total Non Current Assets316,552.00317,081.00318,250.00318,937.00327,337.00330,102.00
Total Assets$1.06M$1.21M$1.05M$1.09M$1.19M$1.18M
Accounts Payable31,868.0033,781.0022,649.0028,260.0026,777.0027,353.00
Short Term Debt7,895.008,433.008,318.008,395.008,392.007,462.00
Deferred Revenue414,240.00420,339.00332,180.00395,059.00403,849.00403,483.00
Tax Payable19,539.0018,186.0021,869.0016,319.0016,541.0017,724.00
Pensions34,109.0062,729.0015,744.0013,097.0014,874.0015,994.00
Other Current Liabilities12,245.0010,623.004,880.005,401.004,222.004,839.00
Total Current Liabilities519,896.00554,091.00444,063.00493,924.00495,485.00517,583.00
Long Term Debt35,931.0038,299.0040,118.0039,817.0042,520.0041,243.00
Other Non Current Liabilities5,644.007,204.007,438.006,915.007,012.006,999.00
Total Non Current Liabilities53,491.0058,327.0051,741.0048,752.0054,251.0054,553.00
Total Liabilities573,387.00612,418.00495,804.00542,676.00549,736.00572,136.00
Common Stock7.007.007.007.008.008.00
Retained Earnings-296,513.00-754,309.00-763,455.00-756,446.00-627,633.00-626,065.00
Other Shareholders Equity-9,049.00-5,711.00-5,142.00-4,742.00-2,652.00-6,969.00
Total Shareholders Equity488,460.00592,643.00558,085.00543,437.00639,772.00612,063.00
Additional Paid In Capital794,015.00$1.38M$1.35M$1.33M$1.29M$1.27M
Treasury Stock0.0023,831.0023,831.0023,831.0023,831.0023,831.00
Machinery Furniture EquipmentN/A107,636.00N/AN/AN/A88,867.00
LeasesN/A10,516.00N/AN/AN/A10,256.00
Restricted CashN/AN/A1,224.00923.001,350.001,705.00
Accrued ExpensesN/AN/A37,210.0026,057.0019,692.0039,394.00
Deferred LiabilitiesN/AN/AN/AN/AN/A35.00