CrowdStrike Holdings, Inc.

CRWD 10-Q · Q2 2026

CRWD Q2 2026 request

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Income Statement

Income Statement
Metric Q2 2026 Q2 2025 YoY
Revenue From Contract With Customer Including Assessed Tax 1,168,952 963,872 +21.3%
Show Product Lines breakouts
Professional services 66,007 45,615 +44.7%
Subscription And Circulation 1,102,945 918,257 +20.1%
Show Geography breakouts
Asia Pacific 117,538 98,274 +19.6%
EMEA 188,423 148,851 +26.6%
Other 78,316 61,746 +26.8%
US 784,675 655,001 +19.8%
Cost of Revenue 310,283 237,401 +30.7%
Show Product Lines breakouts
Professional services 56,643 37,491 +51.1%
Subscription And Circulation 253,640 199,910 +26.9%
Gross Profit 858,669 726,471 +18.2%
Sales & Marketing 447,024 355,471 +25.8%
Research & Development 346,668 250,908 +38.2%
General & Administrative 177,956 106,434 +67.2%
Operating Expenses 971,648 712,813 +36.3%
Operating Income -112,979 13,658 -927.2%
Interest Expense -6,823 -6,549 -4.2%
Interest Income 50,850 51,526 -1.3%
Other Operating Income Expense Net -2,722 -1,031 -164.0%
Income Before Taxes -71,674 57,604 -224.4%
Income Tax Expense (Benefit) 5,971 10,914 -45.3%
Net Income -77,645 46,690 -266.3%
Show Equity Components breakouts
Noncontrolling Interest 30 -323 +109.3%
Retained Earnings -77,675 47,013 -265.2%
Net Income Loss Attributable To Noncontrolling Interest 30 -323 +109.3%
Net Income -77,675 47,013 -265.2%
EPS (Basic) -0.31 0.19 -263.2%
EPS (Diluted) -0.31 0.19 -263.2%
Wtd Avg Shares (Basic) 249,909 244,091 +2.4%
Wtd Avg Shares (Diluted) 249,909 251,265 -0.5%
Comprehensive Income -77,530 48,671 -259.3%

Balance Sheet

Balance Sheet
Metric Q2 2026 Q2 2025 YoY
Current Assets
Cash & Cash Equivalents 4,972,436 4,038,536 +23.1%
Accounts Receivable 886,557 661,045 +34.1%
Capitalized Contract Cost Net Current 372,543 251,246 +48.3%
Prepaid Expenses & Other Current Assets 302,818 230,821 +31.2%
Total Current Assets 6,534,354 5,181,648 +26.1%
Non-Current Assets
Property, Plant & Equipment 869,240 648,474 +34.0%
Operating Lease Right-of-Use Assets 63,399 45,897 +38.1%
Capitalized Contract Cost Net Noncurrent 517,088 341,539 +51.4%
Goodwill 913,325
Intangible Assets 117,858 115,686 +1.9%
Show Finite Lived Intangible Assets By Major Class breakouts
Customer Relationships 14,218 9,997 +42.2%
Developed Technology Rights 91,898 92,567 -0.7%
Other Intangible Assets 11,742 13,122 -10.5%
Other Non-Current Assets 201,113 88,988 +126.0%
Total Assets 9,288,859 7,202,474 +29.0%
Other Assets
Equity Method Investments 72,482 58,246 +24.4%
Current Liabilities
Accounts Payable 120,554 21,067 +472.2%
Accrued Liabilities 210,529
Employee Related Liabilities Current 299,521
Show Award Type breakouts
Employee Stock 21
Operating Lease Liability Current 12,860 17,031 -24.5%
Deferred Revenue (Current) 2,781,196 2,348,464 +18.4%
Other Liabilities Current 51,278 35,028 +46.4%
Total Current Liabilities 3,475,938 2,728,319 +27.4%
Non-Current Liabilities
Long-Term Debt 744,727 743,238 +0.2%
Contract With Customer Liability Noncurrent 1,053,661 744,733 +41.5%
Operating Lease Liabilities 52,941 31,704 +67.0%
Other Non-Current Liabilities 166,901 63,890 +161.2%
Total Liabilities 5,494,168 4,311,884 +27.4%
Stockholders' Equity
Common Stock 125 123 +1.6%
Additional Paid-In Capital 5,016,544 3,824,897 +31.2%
Retained Earnings -1,265,989 -969,003 -30.6%
Accumulated Other Comprehensive Income 6,000 -3,102 +293.4%
Total Stockholders' Equity 3,756,680 2,852,915 +31.7%
Minority Interest 38,011 37,675 +0.9%
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 3,794,691 2,890,590 +31.3%
Show Equity Components breakouts
Accumulated Other Comprehensive Income 6,000 -3,102 +293.4%
Additional Paid In Capital 5,016,544 3,824,897 +31.2%
Common Stock 125 123 +1.6%
Noncontrolling Interest 38,011 37,675 +0.9%
Retained Earnings -1,265,989 -969,003 -30.6%
Total Liabilities & Equity 9,288,859 7,202,474 +29.0%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q2 2026 YTD Q2 2025 YoY
Operating Activities
Depreciation And Amortization Excluding Intangible Assets And Deferred Contract Acquisition Costs 116,834 88,936 +31.4%
Amortization Of Intangible Assets 15,261 12,332 +23.8%
Amortization Of Deferred Contract Acquisition Costs 209,941 147,851 +42.0%
Non Cash Operating Lease Cost Amortization And Interest 8,717 7,167 +21.6%
Stock-Based Compensation 540,757 384,002 +40.8%
Deferred Income Taxes -2,320 -1,929 -20.3%
Other Non-Cash Items 2,293 1,785 +28.5%
Equity Securities Fv Ni Gain Loss 1,579
Change in Accounts Receivable 242,008 192,060 +26.0%
Increase Decrease In Deferred Contract Acquisition Costs -251,622 -158,333 -58.9%
Change in Prepaid & Other Assets -50,411 -63,224 +20.3%
Change in Accounts Payable -13,310 -72 -18386.1%
Increase Decrease In Accrued Liabilities And Other Operating Liabilities 12,716 7,968 +59.6%
Increase Decrease In Employee Related Liabilities -24,931 -29,432 +15.3%
Increase Decrease In Operating Lease Liability -8,113 -7,113 -14.1%
Change in Deferred Revenue 106,178 38,859 +173.2%
Net Cash from Operations 716,939 709,869 +1.0%
Investing Activities
Capital Expenditures -116,248 -88,937 -30.7%
Payments To Develop Software -34,726 -24,995 -38.9%
Payments To Acquire Equity Securities Fv Ni -1,417 -2,702 +47.6%
Proceeds From Sale Of Longterm Investments 4,388 10,895 -59.7%
Payments To Acquire Of Deferred Compensation Investments -2,770 -1,209 -129.1%
Proceeds From Sales Of Deferred Compensation Investments 164 41 +300.0%
Net Cash from Investing -150,609 -105,988 -42.1%
Capital Expenditures Incurred Paid 7,918 -16,469 +148.1%
Right Of Use Asset Obtained In Exchange For Operating Lease Liability 28,273 2,854 +890.6%
Proceeds From Sales Of Strategic Investments Not Yet Received 661 4,808 -86.3%
Stock Based Compensation Included In Capitalized Software Development Costs And Fixed Assets 28,431 19,478 +46.0%
Noncash Consideration For Purchase Of Strategic Investments 1,101 3,319 -66.8%
Financing Activities
Proceeds From Stock Options Exercised 2,355 2,464 -4.4%
Proceeds From Stock Plans 74,622 56,099 +33.0%
Payments To Minority Shareholders -2,156 -4,085 +47.2%
Proceeds From Minority Shareholders 1,500 5,500 -72.7%
Net Cash from Financing 76,321 59,978 +27.2%
Supplemental
Interest Paid 11,250 11,250 0.0%
Income Taxes Paid 26,031 10,250 +154.0%
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 6,595 -1,040 +734.1%
Net Change in Cash 649,246 662,819 -2.0%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 4,973,912 4,040,416 +23.1%
Restricted Cash And Cash Equivalents 1,476 1,880 -21.5%

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

This table is rendered from the same JSON returned by /api/financials.

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