Sprinklr, Inc. (CXM)
NYSE: CXM · Real-Time Price · USD
7.71
-0.32 (-3.99%)
Dec 15, 2025, 4:00 PM EST - Market closed

Sprinklr Cash Flow Statement

Millions USD. Fiscal year is Feb - Jan.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 20212020
Period Ending
Oct '25 Jan '25 Jan '24 Jan '23 Jan '22 Jan '21 2020
Net Income
112.63121.6151.4-55.74-111.47-37.97
Upgrade
Depreciation & Amortization
5.176.126.166.624.633.16
Upgrade
Other Amortization
13.9412.689.515.93.432.53
Upgrade
Loss (Gain) From Sale of Investments
-7.32-12.54-17.01-2.7-1.28-
Upgrade
Stock-Based Compensation
78.3159.5255.7655.5250.1343.88
Upgrade
Provision & Write-off of Bad Debts
1.4411.565.914.08-0.190.69
Upgrade
Other Operating Activities
-65.61-79.795.596.2815.514.92
Upgrade
Change in Accounts Receivable
22.77-30.01-68.71-44.75-47.09-9.78
Upgrade
Change in Accounts Payable
-10.56-7.053.3314.46-1.16.08
Upgrade
Change in Unearned Revenue
2437.4749.8141.4743.417.51
Upgrade
Change in Other Net Operating Assets
-30.88-41.97-30.28-4.4811.1-23.71
Upgrade
Operating Cash Flow
143.8977.5971.4726.66-32.927.31
Upgrade
Operating Cash Flow Growth
60.72%8.57%168.06%---61.45%
Upgrade
Capital Expenditures
-1.64-5.8-8.55-6.09-6.15-2.7
Upgrade
Cash Acquisitions
-----3.63-
Upgrade
Sale (Purchase) of Intangibles
-15-12.63-11.78-10.36-6.26-3.78
Upgrade
Investment in Securities
99.98172.56-90.25-177.050.38-212.97
Upgrade
Investing Cash Flow
83.34154.13-110.57-193.49-15.65-219.46
Upgrade
Short-Term Debt Issued
-----49.97
Upgrade
Long-Term Debt Issued
-----73.43
Upgrade
Total Debt Issued
-----123.4
Upgrade
Short-Term Debt Repaid
------49.97
Upgrade
Total Debt Repaid
------49.97
Upgrade
Net Debt Issued (Repaid)
-----73.43
Upgrade
Issuance of Common Stock
20.0625.7250.7734.97303.1316.33
Upgrade
Repurchase of Common Stock
-152.26-273.87-26.68---5.87
Upgrade
Other Financing Activities
-----6.56
Upgrade
Financing Cash Flow
-132.2-248.1624.0934.97303.13269.78
Upgrade
Foreign Exchange Rate Adjustments
1.52-2.45-0.94-1.18-1.17-0.07
Upgrade
Net Cash Flow
96.55-18.9-15.96-133.04253.3957.57
Upgrade
Free Cash Flow
142.2571.7962.9220.57-39.074.61
Upgrade
Free Cash Flow Growth
72.48%14.10%205.88%---71.78%
Upgrade
Free Cash Flow Margin
16.95%9.01%8.59%3.33%-7.94%1.19%
Upgrade
Free Cash Flow Per Share
0.540.260.220.08-0.200.05
Upgrade
Cash Interest Paid
-----0.22
Upgrade
Cash Income Tax Paid
20.711.017.656.643.463.19
Upgrade
Levered Free Cash Flow
135.3752.0971.1565.2427.1326.04
Upgrade
Unlevered Free Cash Flow
135.3752.0971.1565.2429.1329.47
Upgrade
Change in Working Capital
5.33-41.56-45.856.76.32-9.9
Upgrade
Updated Dec 3, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q