CrowdStrike Holdings, Inc.

CRWD 10-Q · Q3 2026

CRWD Q3 2026 request

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Income Statement

Income Statement
Metric Q3 2026 Q3 2025 YoY
Revenue From Contract With Customer Including Assessed Tax 1,234,244 1,010,178 +22.2%
Show Product Lines breakouts
Professional services 65,539 47,443 +38.1%
Subscription And Circulation 1,168,705 962,735 +21.4%
Show Geography breakouts
Asia Pacific 127,591 102,837 +24.1%
EMEA 198,420 160,574 +23.6%
Other 81,580 63,291 +28.9%
US 826,653 683,476 +20.9%
Cost of Revenue 307,805 255,087 +20.7%
Show Product Lines breakouts
Professional services 49,890 38,786 +28.6%
Subscription And Circulation 257,915 216,301 +19.2%
Gross Profit 926,439 755,091 +22.7%
Sales & Marketing 481,032 408,267 +17.8%
Research & Development 347,564 275,602 +26.1%
General & Administrative 167,286 126,945 +31.8%
Operating Expenses 995,882 810,814 +22.8%
Operating Income -69,443 -55,723 -24.6%
Interest Expense -6,931 -6,587 -5.2%
Interest Income 50,883 52,201 -2.5%
Other Operating Income Expense Net 2,223 -429 +618.2%
Income Before Taxes -23,268 -10,538 -120.8%
Income Tax Expense (Benefit) 10,720 6,281 +70.7%
Net Income -33,988 -16,819 -102.1%
Show Equity Components breakouts
Noncontrolling Interest 9 3 +200.0%
Retained Earnings -33,997 -16,822 -102.1%
Net Income Loss Attributable To Noncontrolling Interest 9 3 +200.0%
Net Income -33,997 -16,822 -102.1%
EPS (Basic) -0.14 -0.07 -100.0%
EPS (Diluted) -0.14 -0.07 -100.0%
Wtd Avg Shares (Basic) 251,326 245,536 +2.4%
Wtd Avg Shares (Diluted) 251,326 245,536 +2.4%
Comprehensive Income -38,460 -15,746 -144.3%

Balance Sheet

Balance Sheet
Metric Q3 2026 Q3 2025 YoY
Current Assets
Cash & Cash Equivalents 4,801,083 4,260,324 +12.7%
Accounts Receivable 1,013,116 813,922 +24.5%
Capitalized Contract Cost Net Current 398,708 294,229 +35.5%
Prepaid Expenses & Other Current Assets 306,375 203,852 +50.3%
Total Current Assets 6,519,282 5,572,327 +17.0%
Non-Current Assets
Property, Plant & Equipment 926,963
Operating Lease Right-of-Use Assets 67,359 46,289 +45.5%
Capitalized Contract Cost Net Noncurrent 556,221 421,773 +31.9%
Goodwill 1,352,927
Intangible Assets 144,405
Show Finite Lived Intangible Assets By Major Class breakouts
Customer Relationships 14,121
Developed Technology Rights 118,885
Other Intangible Assets 11,399
Other Non-Current Assets 316,858 96,386 +228.7%
Total Assets 9,965,347 7,782,958 +28.0%
Other Assets
Equity Method Investments 81,332 68,246 +19.2%
Current Liabilities
Accounts Payable 131,596 79,214 +66.1%
Accrued Liabilities 190,009
Employee Related Liabilities Current 357,653
Show Award Type breakouts
Employee Stock 45.6
Operating Lease Liability Current 15,929 15,658 +1.7%
Deferred Revenue (Current) 2,851,488 2,363,258 +20.7%
Other Liabilities Current 53,220 40,763 +30.6%
Total Current Liabilities 3,599,895 3,000,380 +20.0%
Non-Current Liabilities
Long-Term Debt 745,099 743,610 +0.2%
Contract With Customer Liability Noncurrent 1,211,762 833,260 +45.4%
Operating Lease Liabilities 57,018 32,683 +74.5%
Other Non-Current Liabilities 292,556 77,414 +277.9%
Total Liabilities 5,906,330 4,687,347 +26.0%
Stockholders' Equity
Common Stock 126 124 +1.6%
Additional Paid-In Capital 5,314,820 4,045,660 +31.4%
Retained Earnings -1,299,986 -985,825 -31.9%
Accumulated Other Comprehensive Income 1,537 -2,026 +175.9%
Total Stockholders' Equity 4,016,497 3,057,933 +31.3%
Minority Interest 42,520 37,678 +12.9%
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 4,059,017 3,095,611 +31.1%
Show Equity Components breakouts
Accumulated Other Comprehensive Income 1,537 -2,026 +175.9%
Additional Paid In Capital 5,314,820 4,045,660 +31.4%
Common Stock 126 124 +1.6%
Noncontrolling Interest 42,520 37,678 +12.9%
Retained Earnings -1,299,986 -985,825 -31.9%
Total Liabilities & Equity 9,965,347 7,782,958 +28.0%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q3 2026 YTD Q3 2025 YoY
Operating Activities
Depreciation And Amortization Excluding Intangible Assets And Deferred Contract Acquisition Costs 180,883 137,851 +31.2%
Amortization Of Intangible Assets 23,061 18,665 +23.6%
Amortization Of Deferred Contract Acquisition Costs 325,434 227,713 +42.9%
Non Cash Operating Lease Cost Amortization And Interest 12,625 11,100 +13.7%
Stock-Based Compensation 822,728 592,890 +38.8%
Deferred Income Taxes -5,362 -2,122 -152.7%
Other Non-Cash Items 3,533 2,748 +28.6%
Equity Securities Fv Ni Gain Loss 1,579
Change in Accounts Receivable 116,196 39,184 +196.5%
Increase Decrease In Deferred Contract Acquisition Costs -431,660 -361,412 -19.4%
Change in Prepaid & Other Assets -79,440 -42,832 -85.5%
Change in Accounts Payable -9,627 34,096 -128.2%
Increase Decrease In Accrued Liabilities And Other Operating Liabilities 19,853 85,667 -76.8%
Increase Decrease In Employee Related Liabilities 32,607 89,896 -63.7%
Increase Decrease In Operating Lease Liability -8,979 -11,812 +24.0%
Change in Deferred Revenue 333,675 142,180 +134.7%
Net Cash from Operations 1,114,480 1,036,005 +7.6%
Investing Activities
Capital Expenditures -199,643 -167,641 -19.1%
Payments To Develop Software -51,496 -41,266 -24.8%
Payments To Acquire Equity Securities Fv Ni -10,267 -12,702 +19.2%
Proceeds From Sale Of Longterm Investments 4,901 10,895 -55.0%
Payments To Acquire Businesses Net Of Cash Acquired -380,914 -96,381 -295.2%
Payments To Acquire Of Deferred Compensation Investments -4,257 -1,815 -134.5%
Proceeds From Sales Of Deferred Compensation Investments 173 41 +322.0%
Net Cash from Investing -641,503 -211,569 -203.2%
Capital Expenditures Incurred Paid 13,744 22,811 -39.7%
Stock Issued1 2,302 468 +391.9%
Right Of Use Asset Obtained In Exchange For Operating Lease Liability 35,351 7,009 +404.4%
Proceeds From Sales Of Strategic Investments Not Yet Received 166 4,808 -96.5%
Stock Based Compensation Included In Capitalized Software Development Costs And Fixed Assets 42,493 31,934 +33.1%
Noncash Consideration For Purchase Of Strategic Investments 1,101 3,319 -66.8%
Fair Value Of Common Stock Issued For Consideration Transferred 10,318
Escrow Deposit Disbursements Related To Property Acquisition1 83,000
Financing Activities
Proceeds From Stock Options Exercised 2,628 3,308 -20.6%
Proceeds From Stock Plans 74,622 56,099 +33.0%
Payments To Minority Shareholders -2,156 -4,085 +47.2%
Proceeds From Minority Shareholders 6,000 5,500 +9.1%
Net Cash from Financing 81,094 60,822 +33.3%
Supplemental
Interest Paid 22,500 22,500 0.0%
Income Taxes Paid 41,505 14,195 +192.4%
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 7,317 -641 +1241.5%
Net Change in Cash 561,388 884,617 -36.5%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 4,886,054 4,262,214 +14.6%
Restricted Cash And Cash Equivalents At Carrying Value 1,011 1,890 -46.5%
Restricted Cash And Cash Equivalents Noncurrent 83,960

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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