Cisco Systems, Inc. (CSCO)
NASDAQ: CSCO · Real-Time Price · USD
82.90
-0.21 (-0.25%)
Feb 4, 2026, 10:58 AM EST - Market open

Cisco Systems Balance Sheet

Millions USD. Fiscal year is Aug - Jul.
Fiscal Quarter
Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Period Ending
Oct '25 Jul '25 Apr '25 Jan '25 Oct '24 Jul '24 Apr '24 Jan '24 Oct '23 Jul '23 Apr '23 Jan '23 Oct '22 Jul '22 Apr '22 Jan '22 Oct '21 Jul '21 May '21 Jan '21
Cash & Equivalents
8,4008,3468,1618,5569,0657,5088,91313,7159,60210,1238,0449,0097,2927,0796,9526,7317,6199,1757,35011,793
Short-Term Investments
7,3368,3278,2319,04710,35611,09610,60712,51914,29616,21115,24413,05212,49212,18813,15614,38215,72715,34316,22918,795
Trading Asset Securities
---412---------1369-1
Cash & Short-Term Investments
15,73616,67316,39217,64419,42318,60419,52026,23423,89826,33423,28822,06119,78419,26720,10921,11623,35224,52723,57930,589
Cash Growth
-18.98%-10.38%-16.02%-32.74%-18.73%-29.35%-16.18%18.92%20.79%36.68%15.81%4.47%-15.28%-21.45%-14.72%-30.97%-22.20%-16.65%-17.51%13.03%
Accounts Receivable
9,71211,4628,2358,7437,58011,4238,5708,3608,2479,2068,5068,7949,12210,5279,58710,0009,37610,1469,0739,334
Other Receivables
------------------26239
Receivables
9,71211,4628,2358,7437,58011,4238,5708,3608,2479,2068,5068,7949,12210,5279,58710,0009,37610,1469,3359,373
Inventory
3,3953,1642,8322,9273,1433,3733,1183,2093,3423,6443,4743,1402,6642,5682,2312,0591,8321,5591,5791,436
Restricted Cash
15647557617637657655653781912---711101467
Other Current Assets
4,0323,1234,6024,6064,8432,6973,9133,7593,7943,9734,6804,5204,5714,3554,0473,6133,0182,8662,5612,506
Total Current Assets
32,87634,98632,81634,68135,75236,86235,88642,12739,65943,34839,95038,51536,14136,71735,98136,79937,58839,11237,06043,911
Property, Plant & Equipment
3,5513,4143,2953,1263,1743,1563,0082,9833,0013,0563,0642,9422,9013,0003,0703,2183,3563,4333,2953,360
Long-Term Investments
2,1001,9002,0002,0882,1752,3632,3502,5382,9253,1133,3003,3003,3003,4002,6502,5962,5258491,5161,440
Goodwill
59,11959,13659,02458,71958,77458,66058,63339,08738,90038,53538,36938,38838,16038,30438,45238,67938,80238,16837,69034,733
Other Intangible Assets
8,7139,1759,64310,13910,74411,21911,8191,6781,9141,8181,9662,1342,3602,5692,8113,0793,3503,6193,7161,462
Long-Term Accounts Receivable
5,3194,9663,2473,2403,4114,6763,2513,3643,3243,4833,3933,5543,6184,0093,9594,0244,5464,8845,0685,100
Long-Term Deferred Tax Assets
7,3147,3567,0166,5916,5146,2625,5277,3387,1026,5765,8175,3214,8914,4494,2764,2694,1984,3604,0704,109
Other Long-Term Assets
2,1101,3582,7412,7912,7891,2152,5242,0591,9571,9231,6701,6861,6831,5541,5981,5981,6163,0721,4811,486
Total Assets
121,102122,291119,782121,375123,333124,413122,998101,17498,782101,85297,52995,84093,05494,00292,79794,26295,98197,49793,89695,601
Accounts Payable
2,6032,7342,5062,2852,4352,8022,6042,3862,5942,8422,9672,7792,6962,5942,5252,3002,4402,5132,5692,019
Accrued Expenses
3,0643,6113,2103,2992,8613,6083,2113,2163,0393,9843,3523,1872,9073,3163,0323,3643,2313,8183,3273,295
Short-Term Debt
3,4763,4824,17410,91611,87010,85311,8913,939-----600-2,000----
Current Portion of Long-Term Debt
3,2491,7502,250504502499-1,0001,0001,7501,7491,2501,2494991,0005025062,5082,0005,000
Current Portion of Leases
403375350362357364344330302313321337308322334376353337335366
Current Income Taxes Payable
2,4711,8571,8211,8842,0961,4391,8671,8762,3804,2353,1322,200890961852837816801753763
Current Unearned Revenue
15,80116,41616,08115,99915,61516,24915,75114,01113,81213,90813,24913,10912,57812,78412,24912,26812,01712,14811,49211,552
Other Current Liabilities
4,3844,8394,1034,7704,8064,7704,4404,0933,9084,2773,9494,3904,2684,5644,1584,2683,8754,1323,7864,273
Total Current Liabilities
35,45135,06434,49540,01940,54240,58440,10830,85127,03531,30928,71927,25224,89625,64024,15025,91523,23826,25724,26227,268
Long-Term Debt
21,36422,86122,85719,62519,62319,62120,1186,6846,6826,6826,6817,6797,6788,4268,4258,9698,9969,0189,5329,554
Long-Term Leases
1,1451,1751,1141,015938906861703741707742691667724739763834831671688
Long-Term Unearned Revenue
12,16812,36311,91011,79611,88712,22611,72411,76011,84711,64211,01110,81810,44110,48010,04410,04510,05510,0169,3979,294
Long-Term Deferred Tax Liabilities
-75---76---62---55---134--
Other Long-Term Liabilities
4,1013,9103,4713,3905,0665,5434,4194,9257,2677,0978,0817,9269,1008,9049,0399,07410,1579,9669,8299,676
Total Liabilities
74,22975,44873,84775,84578,05678,95677,23054,92353,57257,49955,23454,36652,78254,22952,39754,76653,28056,22253,69156,480
Common Stock
48,16747,74746,91646,52145,99145,80045,34345,00244,54644,28943,63943,42442,98442,71442,58742,29142,62142,34641,94941,690
Retained Earnings
-364501525026621,0872,0552,7612,6891,639262-364-594-1,319-724-2,006553-654-1,456-2,351
Comprehensive Income & Other
-930-954-1,133-1,493-1,376-1,430-1,630-1,512-2,025-1,575-1,606-1,586-2,118-1,622-1,463-789-473-417-288-218
Total Common Equity
46,87346,84345,93545,53045,27745,45745,76846,25145,21044,35342,29541,47440,27239,77340,40039,49642,70141,27540,20539,121
Shareholders' Equity
46,87346,84345,93545,53045,27745,45745,76846,25145,21044,35342,29541,47440,27239,77340,40039,49642,70141,27540,20539,121
Total Liabilities & Equity
121,102122,291119,782121,375123,333124,413122,998101,17498,782101,85297,52995,84093,05494,00292,79794,26295,98197,49793,89695,601
Total Debt
29,63729,64330,74532,42233,29032,24333,21412,6568,7259,4529,4939,9579,90210,57110,49812,61010,68912,69412,53815,608
Net Cash (Debt)
-13,901-12,970-14,353-14,778-13,867-13,639-13,69413,57815,17316,88213,79512,1049,8828,6969,6118,50612,66311,83311,04114,981
Net Cash Growth
-------12.18%53.54%94.14%43.53%42.30%-21.96%-26.51%-12.95%-43.22%-12.20%-14.50%-4.00%49.95%
Net Cash Per Share
-3.48-3.25-3.59-3.69-3.46-3.38-3.373.333.714.123.362.942.402.102.302.022.982.792.613.54
Filing Date Shares Outstanding
3,9513,9533,9603,9783,9833,9914,0294,0494,0634,0554,0754,0964,1084,1094,1414,1544,2184,2184,2144,222
Total Common Shares Outstanding
3,9383,9603,9603,9773,9744,0074,0314,0504,0494,0664,0754,0954,1034,1104,1494,1514,2174,2174,2154,221
Working Capital
-2,575-78-1,679-5,338-4,790-3,722-4,22211,27612,62412,03911,23111,26311,24511,07711,83110,88414,35012,85512,79816,643
Book Value Per Share
11.9011.8311.6011.4511.3911.3411.3511.4211.1710.9110.3810.139.829.689.749.5110.139.799.549.27
Tangible Book Value
-20,959-21,468-22,732-23,328-24,241-24,422-24,6845,4864,3964,0001,960952-248-1,100-863-2,262549-512-1,2012,926
Tangible Book Value Per Share
-5.32-5.42-5.74-5.87-6.10-6.09-6.121.351.090.980.480.23-0.06-0.27-0.21-0.540.13-0.12-0.280.69
Land
4,0624,0453,9963,9794,2674,2474,2214,2144,1944,2294,2584,2634,1934,2194,2434,2934,3104,3044,3094,291
Machinery
5,5505,4945,4745,4375,4915,5115,4555,4965,4855,6945,6915,6805,6735,7615,9126,0846,2616,3416,3896,432
Updated Nov 12, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q