Snowflake Inc.

SNOW 10-K · FY 2026

SNOW FY 2026 request

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Income Statement

Income Statement
Metric FY 2026 FY 2025 YoY
Revenue 4,683,946 3,626,396 +29.2%
Show Product Lines breakouts
Product 4,472,317 3,462,422 +29.2%
Professional services and other revenue 211,629 163,974 +29.1%
Show Business Segments breakouts
Reportable Segment 4,683,946 3,626,396 +29.2%
Show Geography breakouts
Asia-Pacific and Japan 271,044 188,041 +44.1%
EMEA 763,650 574,748 +32.9%
Other Americas 125,278 101,943 +22.9%
US 3,523,974 2,761,664 +27.6%
Cost of Revenue 1,537,805 1,214,673 +26.6%
Show Product Lines breakouts
Product · Reportable Segment 1,260,324 992,069 +27.0%
Professional services and other revenue · Reportable Segment 277,481 222,604 +24.7%
Gross Profit 3,146,141 2,411,723 +30.5%
Sales & Marketing 2,062,137 1,672,092 +23.3%
Show Business Segments breakouts
Reportable Segment 2,062,137 1,672,092 +23.3%
Research & Development 1,969,472 1,783,379 +10.4%
Show Business Segments breakouts
Reportable Segment 1,969,472 1,783,379 +10.4%
General & Administrative 549,697 412,262 +33.3%
Show Business Segments breakouts
Reportable Segment 549,697 412,262 +33.3%
Operating Expenses 4,581,306 3,867,733 +18.4%
Operating Income -1,435,165 -1,456,010 +1.4%
Investment Income Nonoperating 190,556 209,009 -8.8%
Show Business Segments breakouts
Reportable Segment -190,556 -209,009 +8.8%
Interest Expense -8,298 -2,759 -200.8%
Show Business Segments breakouts
Reportable Segment -8,298 -2,759 -200.8%
Other Non-Operating Income (Expense) -59,003 -35,339 -67.0%
Show Business Segments breakouts
Reportable Segment 59,003 35,339 +67.0%
Income Before Taxes -1,311,910 -1,285,099 -2.1%
Income Tax Expense (Benefit) 17,125 4,113 +316.4%
Show Business Segments breakouts
Reportable Segment 17,125 4,113 +316.4%
Net Income -1,329,035 -1,289,212 -3.1%
Show Business Segments breakouts
Reportable Segment -1,329,035 -1,289,212 -3.1%
Show Equity Components breakouts
Noncontrolling Interest 2,581 -3,572 +172.3%
Parent -1,331,616 -1,285,640 -3.6%
Retained Earnings -1,331,616 -1,285,640 -3.6%
Net Income Loss Attributable To Noncontrolling Interest 2,581 -3,572 +172.3%
Net Income -1,331,616 -1,285,640 -3.6%
EPS (Basic) -3.95 -3.86 -2.3%
EPS (Diluted) -3.95 -3.86 -2.3%
Wtd Avg Shares (Basic) 337,493 332,707 +1.4%
Wtd Avg Shares (Diluted) 337,493 332,707 +1.4%
Revenue (FY)
Show Related Party Transactions By Related Party breakouts
Related Party 24.6 12.9 +90.7%
Comprehensive Income -1,326,043 -1,279,656 -3.6%
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss Before Reclassification After Tax 10,405 -52 +20109.6%

Balance Sheet

Balance Sheet
Metric FY 2026 FY 2025 YoY
Current Assets
Cash & Cash Equivalents 2,828,163 2,628,798 +7.6%
Available For Sale Securities Debt Securities Current 1,201,523 2,008,873 -40.2%
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level2 · Certificates Of Deposit 65,689 185,163 -64.5%
Fair Value Inputs Level2 · Commercial Paper 18,611 307,856 -94.0%
Fair Value Inputs Level2 · Corporate Debt Securities 860,872 1,059,181 -18.7%
Fair Value Inputs Level2 · US Government Agencies Debt Securities 256,351 456,673 -43.9%
Show Financial Instrument breakouts
Certificates Of Deposit · Fair Value Measurements Recurring 65,689 185,163 -64.5%
Commercial Paper · Fair Value Measurements Recurring 18,611 307,856 -94.0%
Corporate Debt Securities · Fair Value Measurements Recurring 860,872 1,059,181 -18.7%
US Government Agencies Debt Securities · Fair Value Measurements Recurring 256,351 456,673 -43.9%
Accounts Receivable 1,303,740 922,805 +41.3%
Capitalized Contract Cost Net Current 214,058 97,662 +119.2%
Prepaid Expenses & Other Current Assets 195,128 211,234 -7.6%
Total Current Assets 5,742,612 5,869,372 -2.2%
Non-Current Assets
Available For Sale Securities Debt Securities Noncurrent 755,013 656,476 +15.0%
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level2 · Corporate Debt Securities 525,964 501,369 +4.9%
Fair Value Inputs Level2 · US Government Agencies Debt Securities 229,049 153,065 +49.6%
Show Financial Instrument breakouts
Corporate Debt Securities · Fair Value Measurements Recurring 525,964 501,369 +4.9%
US Government Agencies Debt Securities · Fair Value Measurements Recurring 229,049 153,065 +49.6%
Property, Plant & Equipment 248,611 296,393 -16.1%
Operating Lease Right-of-Use Assets 274,897 359,439 -23.5%
Goodwill 1,194,367 1,056,559 +13.0%
Show Business Acquisition breakouts
Two Other Fiscal 2026 Business Combinations 19.5
Capitalized Contract Cost Net Noncurrent 241,759 183,967 +31.4%
Other Non-Current Assets 428,320 333,704 +28.4%
Total Assets 9,132,495 9,033,938 +1.1%
Intangible Assets 246,490 277,202 -11.1%
Show Finite Lived Intangible Assets By Major Class breakouts
Assembled workforce 10,913 18,803 -42.0%
Customer Relationships 9,604 4,072 +135.9%
Developed Technology Rights 187,070 185,030 +1.1%
Developer community 37,482 68,428 -45.2%
Patents and other 1,421
Other Assets
Intangible Assets Net Excluding Goodwill 246,916 278,028 -11.2%
Current Liabilities
Accounts Payable 145,559 169,767 -14.3%
Accrued Liabilities 879,537 515,454 +70.6%
Operating Lease Liability Current 49,598 35,923 +38.1%
Deferred Revenue (Current) 3,346,997 2,580,039 +29.7%
Total Current Liabilities 4,421,691 3,301,183 +33.9%
Non-Current Liabilities
Convertible Debt Noncurrent 2,279,827 2,271,529 +0.4%
Operating Lease Liabilities 411,689 377,818 +9.0%
Contract With Customer Liability Noncurrent 14,440 15,501 -6.8%
Other Non-Current Liabilities 80,746 61,264 +31.8%
Total Liabilities 7,208,393 6,027,295 +19.6%
Long-Term Debt (Q)
Show Debt Instrument breakouts
Convertible Senior Notes Due 2027 · Convertible Debt 1,141,299
Convertible Senior Notes Due 2029 · Convertible Debt 1,138,528
Stockholders' Equity
Common Stock 34 34 0.0%
Treasury Stock Common Value -54,488 -59,505 +8.4%
Additional Paid-In Capital 11,469,468 10,355,211 +10.8%
Accumulated Other Comprehensive Income 3,337 -2,236 +249.2%
Retained Earnings -9,494,249 -7,293,575 -30.2%
Total Stockholders' Equity 1,924,102 2,999,929 -35.9%
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 1,924,102 3,006,643 -36.0%
Show Equity Components breakouts
Accumulated Other Comprehensive Income 3,337 -2,236 +249.2%
Additional Paid In Capital 11,469,468 10,355,211 +10.8%
Common Stock 34 34 0.0%
Parent 1,924,102 2,999,929 -35.9%
Retained Earnings -9,494,249 -7,293,575 -30.2%
Treasury Stock Common -54,488 -59,505 +8.4%
Total Liabilities & Equity 9,132,495 9,033,938 +1.1%

Cash Flow Statement

Cash Flow Statement
Metric FY 2026 FY 2025 YoY
Operating Activities
Depreciation & Amortization 220,443 182,508 +20.8%
Noncash Operating Lease Costs 66,463 59,943 +10.9%
Amortization Of Deferred Sales Commissions 140,415 93,128 +50.8%
Asset Impairment Charges 108,715
Show Lease Description [Axis] breakouts
San Mateo Office Facility · Leasehold Improvements And Furniture And Fixtures 20.8
Stock-Based Compensation 1,599,547 1,479,314 +8.1%
Accretion Amortization Of Discounts And Premiums Investments -21,813 -43,434 +49.8%
Equity Securities Fv Ni Gain Loss 59,895 31,420 +90.6%
Amortization of Financing Costs 8,298 2,759 +200.8%
Deferred Income Taxes -2,337 -7,671 +69.5%
Non Cash Restructuring Charges Recoveries Net -11,159 1,391 -902.2%
Other Non-Cash Items -1,250 6,029 -120.7%
Change in Accounts Receivable -379,969 536 -70989.7%
Increase Decrease In Capitalized Contract Cost -305,063 -101,569 -200.4%
Change in Prepaid & Other Assets -44,516 29,850 -249.1%
Change in Accounts Payable -8,299 108,852 -107.6%
Increase Decrease In Accrued Liabilities And Other Operating Liabilities 393,337 70,876 +455.0%
Increase Decrease In Operating Lease Liabilities -26,949 -47,711 +43.5%
Change in Deferred Revenue 755,219 382,755 +97.3%
Net Cash from Operations 1,221,942 959,764 +27.3%
Investing Activities
Capital Expenditures -101,628 -46,279 -119.6%
Payments To Acquire Businesses Net Of Cash Acquired -178,850 -30,305 -490.2%
Payments To Acquire Intangible Assets -3,101
Payments To Acquire Investments -2,040,420 -2,569,243 +20.6%
Proceeds From Sale Of Investments 21,203 64,573 -67.2%
Proceeds From Maturities Prepayments And Calls Of Available For Sale Securities 2,615,037 2,802,082 -6.7%
Net Cash from Investing 312,241 190,646 +63.8%
Business Combination Consideration Transferred Equity Interests Issued And Issuable 13,074 87,706 -85.1%
Financing Activities
Proceeds From Stock Options Exercised 84,130 44,886 +87.4%
Proceeds From Stock Plans 88,123 77,053 +14.4%
Tax Withholding for Share Compensation -672,867 -489,149 -37.6%
Share Repurchases -873,537 -1,932,333 +54.8%
Payments To Minority Shareholders -9,295
Payments For Deferred Consideration Related To Business Combinations -1,944 -250 -677.6%
Net Cash from Financing -1,385,390 -226,523 -511.6%
Supplemental
Unpaid Capital Expenditures 17,206 36,061 -52.3%
Income Taxes Paid 13,319 15.7 +84734.4%
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 16,832 -6,186 +372.1%
Net Change in Cash 165,625 917,701 -82.0%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 2,864,303 2,698,678 +6.1%
Restricted Cash 36,140 69,880 -48.3%

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

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