AXON ENTERPRISE, INC.

AXON 10-Q · Q2 2025

AXON Q2 2025 request

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Income Statement

Income Statement
Metric Q2 2025 Q2 2024 YoY
Revenue 668,538 503,236 +32.8%
Show Product Lines breakouts
Personal Sensors 92,819 75,113 +23.6%
Personal Sensors · Connected Devices 92,819 75,113 +23.6%
Platform Solutions 67,307 36,102 +86.4%
Platform Solutions · Connected Devices 67,307 36,102 +86.4%
Product 376,360 292,763 +28.6%
Service 292,178 210,473 +38.8%
Software and Services 292,178 210,473 +38.8%
Software and Services · Software and Services 292,178 210,473 +38.8%
TASER 216,234 181,548 +19.1%
TASER · Connected Devices 216,234 181,548 +19.1%
Show Business Segments breakouts
Connected Devices 376,360 292,763 +28.6%
Connected Devices · Operating Segments 376,360 292,763 +28.6%
Software and Services 292,178 210,473 +38.8%
Software and Services · Operating Segments 292,178 210,473 +38.8%
Show Geography breakouts
Non Us 131,165 78,598 +66.9%
US 537,373 424,638 +26.5%
Show Consolidation Items breakouts
Operating Segments 668,538 503,236 +32.8%
Cost of Revenue 264,795 197,080 +34.4%
Show Product Lines breakouts
Product 193,507 142,627 +35.7%
Service 71,288 54,453 +30.9%
Show Business Segments breakouts
Connected Devices · Operating Segments 193,507 142,627 +35.7%
Software and Services · Operating Segments 71,288 54,453 +30.9%
Show Consolidation Items breakouts
Operating Segments 264,795 197,080 +34.4%
Gross Profit 403,743 306,156 +31.9%
Selling, General & Administrative 242,212 170,964 +41.7%
Research & Development 162,567 101,434 +60.3%
Operating Expenses 404,779 272,398 +48.6%
Operating Income -1,036 33,758 -103.1%
Interest Income 23,253 11,653 +99.5%
Interest Expense -28,686 -1,871 -1433.2%
Other Non-Operating Income (Expense) -32,414 7,934 -508.5%
Income Before Taxes -38,883 51,474 -175.5%
Income Tax Expense (Benefit) -75,000 10,001 -849.9%
Net Income 36,117 41,473 -12.9%
Show Equity Components breakouts
Retained Earnings 36,117 41,473 -12.9%
EPS (Basic) 0.46 0.55 -16.4%
EPS (Diluted) 0.44 0.53 -17.0%
Wtd Avg Shares (Basic) 77,999 75,511 +3.3%
Wtd Avg Shares (Diluted) 82,062 77,550 +5.8%
Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax 5,159 -2,727 +289.2%
Other Comprehensive Income Availableforsale Securities Adjustment Net Of Tax Portion Attributable To Parent 73 119 -38.7%
Comprehensive Income 41,349 38,865 +6.4%
Interest Expense (Q)
Show Derivative Risk breakouts
2027 Note Hedge · Convertible Debt 685 1,645 -58.4%

Balance Sheet

Balance Sheet
Metric Q2 2025 Q2 2024 YoY
Current Assets
Cash & Cash Equivalents 615,496 566,452 +8.7%
Short-Term Investments 1,471,304 402,470 +265.6%
Marketable Securities 144,000 107,550 +33.9%
Accounts Notes And Loans Receivable Net Current 627,961 386,058 +62.7%
Contract With Customer Asset Net Current 463,371 343,422 +34.9%
Inventory 308,492 277,753 +11.1%
Prepaid Expenses & Other Current Assets 197,738 122,033 +62.0%
Total Current Assets 3,828,362 2,205,738 +73.6%
Non-Current Assets
Property, Plant & Equipment 271,240 215,324 +26.0%
Deferred Tax Assets 357,417 226,801 +57.6%
Goodwill 762,245 307,758 +147.7%
Show Business Segments breakouts
Connected Devices 51,505 2,908 +1671.1%
Software and Services 710,740 304,850 +133.1%
Long Term Accounts Notes And Loans Receivable Net Noncurrent 1,631 3,044 -46.4%
Contract With Customer Asset Net Noncurrent 161,905 107,216 +51.0%
Other Non-Current Assets 266,368 227,784 +16.9%
Total Assets 6,215,256 3,742,370 +66.1%
Show Consolidated Entities breakouts
Variable Interest Entity Not Primary Beneficiary 24,876 27,623 -9.9%
Intangible Assets 135,274 83,782 +61.5%
Show Finite Lived Intangible Assets By Major Class breakouts
Customer Relationships 27,300 1,453 +1778.9%
Developed Technology Rights 102,086 762 +13297.1%
Internet Domain Names 457 64,075 -99.3%
Patents 1,469 15,402 -90.5%
Trademarks 3,962 2,090 +89.6%
Other Assets
Intangible Assets Net Excluding Goodwill 162,588 85,571 +90.0%
Equity Securities Without Readily Determinable Fair Value Amount 403,500 363,134 +11.1%
Show Financial Instrument breakouts
Call Option 11,600
Call Option · Equity Securities 11,600 13,033 -11.0%
Strategic investments 385,283
Strategic investments · Debt Securities 10,335
Strategic investments · Equity Securities 374,948 340,108 +10.2%
Warrants 6,617
Warrants · Equity Securities 6,617 2,356 +180.9%
Show Fair Value By Asset Class breakouts
Debt Securities 10,335
Equity Securities 393,165 7,637 +5048.2%
Current Liabilities
Accounts Payable 118,110 104,077 +13.5%
Accrued Liabilities 265,832 141,614 +87.7%
Deferred Revenue (Current) 603,417 485,869 +24.2%
Notes Payable Current 279,247
Customer Deposit Current 19,412 23,049 -15.8%
Other Liabilities Current 11,053 11,504 -3.9%
Total Current Liabilities 1,297,071 766,113 +69.3%
Current Portion of Long-Term Debt -279,247
Non-Current Liabilities
Contract With Customer Liability Noncurrent 329,045 291,424 +12.9%
Liability For Uncertain Tax Positions Noncurrent 32,112 19,008 +68.9%
Deferred Compensation Liability Classified Noncurrent 20,512 14,050 +46.0%
Operating Lease Liabilities 43,638 41,705 +4.6%
Other Non-Current Liabilities 31,903 2,552 +1150.1%
Total Liabilities 3,482,856 1,813,530 +92.0%
Long-Term Debt 2,007,822
Long-Term Debt 1,728,575
Other Liabilities
Long Term Notes Payable 1,728,575
Stockholders' Equity
Common Stock 1 1 0.0%
Additional Paid In Capital Common Stock 1,964,953 1,493,716 +31.5%
Treasury Stock Common Value -155,947
Retained Earnings 936,111 605,264 +54.7%
Accumulated Other Comprehensive Income -12,718 -14,194 +10.4%
Total Stockholders' Equity 2,732,400 1,933,381 +41.3%
Show Equity Components breakouts
Accumulated Net Unrealized Investment Gain Loss -81 -386 +79.0%
Accumulated Other Comprehensive Income -12,718 -14,194 +10.4%
Accumulated Translation Adjustment -12,637 -13,808 +8.5%
Additional Paid In Capital 1,964,953 1,493,716 +31.5%
Common Stock 1 1 0.0%
Retained Earnings 936,111 609,805 +53.5%
Treasury Stock Common -155,947 -155,947 0.0%
Total Liabilities & Equity 6,215,256 3,742,370 +66.1%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q2 2025 YTD Q2 2024 YoY
Operating Activities
Stock-Based Compensation 279,483 149,936 +86.4%
Show Income Statement Location breakouts
Cost Of Sales 25,448 38,112 -33.2%
Research And Development Expense 110,501 50,036 +120.8%
Selling General And Administrative Expenses 143,534 61,788 +132.3%
Gain Loss On Investments -111,754 -147,699 +24.3%
Gains Losses On Extinguishment Of Debt 28,666
Depreciation & Amortization 36,610 17,742 +106.3%
Show Business Segments breakouts
Connected Devices · Operating Segments 17,595 10,848 +62.2%
Software and Services · Operating Segments 8,057 3,829 +110.4%
Show Consolidation Items breakouts
Operating Segments 25,652 14,677 +74.8%
Provision For Bad Debt And Inventory 6,254 11,084 -43.6%
Deferred Income Taxes -70,065 -7,755 -803.5%
Other Noncash Expense 19,278 6,364 +202.9%
Increase Decrease In Accounts And Notes Receivable -212,833 -77,092 -176.1%
Change in Inventory -48,098 -16,959 -183.6%
Change in Deferred Revenue -51,143 -8,499 -501.8%
Increase Decrease In Accounts Payable And Accrued Liabilities 21,175 -43,532 +148.6%
Change in Prepaid & Other Assets -87,580 8,410 -1141.4%
Net Cash from Operations -65,910 66,825 -198.6%
Investing Activities
Payments To Acquire Investments -1,793,862 -490,989 -265.4%
Payments To Acquire Businesses Net Of Cash Acquired -3,809 -237,796 +98.4%
Proceeds From Sale And Maturity Of Marketable Securities 756,654 664,358 +13.9%
Capital Expenditures -47,815 -27,512 -73.8%
Other Investing Activities 83 34 +144.1%
Net Cash from Investing -1,088,749 -91,905 -1084.6%
Financing Activities
Net Proceeds From Equity Offering 183,960
Proceeds From Debt Net Of Issuance Costs 1,750,000
Repayments Of Convertible Debt -407,453
Debt Issuance Costs -24,735
Tax Withholding for Share Compensation -192,835 -4,895 -3839.4%
Proceeds From Payments For Other Financing Activities -76
Net Cash from Financing 1,308,861 -4,895 +26838.7%
Amortization of Financing Costs (YTD)
Show Debt Instrument breakouts
Senior Notes Due 2030 And 2033 · Senior Notes 950
Show Derivative Risk breakouts
2027 Note Hedge · Convertible Debt 1,079 1,565 -31.1%
Supplemental
Restricted Cash And Cash Equivalents 11,966 2,157 +454.8%
Income Taxes Paid 49,616 47,399 +4.7%
Unpaid Capital Expenditures 3,060 5,299 -42.3%
Right Of Use Asset Obtained In Exchange For Operating Lease Liability 5,554 11,711 -52.6%
Debt Conversion Converted Instrument Expense Amount 33,725
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 6,497 -2,086 +411.5%
Net Change in Cash 160,699 -32,061 +601.2%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 627,462 568,609 +10.4%

Values in thousands USD. Source: SEC EDGAR 10-Q filing.

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