Sprinklr, Inc. (CXM)
NYSE: CXM · Real-Time Price · USD
5.41
+0.03 (0.46%)
Jun 5, 2026, 4:00 PM EDT - Market closed

Sprinklr Cash Flow Statement

Millions USD. Fiscal year is Feb - Jan.
Fiscal Year
TTMFY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Apr '26 Jan '26 Jan '25 Jan '24 Jan '23 Jan '22
Net Income
28.6522.91121.6151.4-55.74-111.47
Depreciation & Amortization
18.6619.0618.6815.4712.058.06
Stock-Based Compensation
83.1684.4359.5255.7655.5250.13
Other Adjustments
27.4124.13-80.66-5.318.1414.04
Change in Receivables
6.165.71-30.01-68.71-44.75-47.09
Changes in Accounts Payable
4.835.91-7.053.3314.46-1.1
Changes in Accrued Expenses
-10.8311.14-12.49-6.526.6925.51
Changes in Unearned Revenue
17.3922.7137.4749.8141.4743.4
Changes in Other Operating Activities
-41.81-36.81-29.49-23.76-11.17-14.41
Operating Cash Flow
145.79159.1977.5971.4726.66-32.92
Operating Cash Flow Growth
21.84%105.17%8.57%168.06%--
Capital Expenditures
-1.42-1.38-5.8-8.55-6.09-6.15
Purchases of Intangible Assets
-17.49-15.91-12.63-11.78-10.36-6.26
Purchases of Investments
-349.18-516.84-396.15-604.65-816.71-267.83
Proceeds from Sale of Investments
518.87521.92568.71514.4639.66268.21
Payments for Business Acquisitions
------3.63
Other Investing Activities
--0.26----
Investing Cash Flow
150.91-12.47154.13-110.57-193.49-15.65
Issuance of Common Stock
16.3120.4225.7250.7734.97303.13
Repurchase of Common Stock
-277.26-152.26-273.87-26.68--
Net Common Stock Issued (Repurchased)
-260.96-131.85-248.1624.0934.97303.13
Financing Cash Flow
-259.56-131.85-248.1624.0934.97303.13
Effect of Exchange Rate Changes on Cash and Cash Equivalents
-0.373.1-2.45-0.94-1.18-1.17
Net Cash Flow
36.7717.98-18.9-15.96-133.04253.39
Free Cash Flow
144.38157.8171.7962.9220.57-39.07
Free Cash Flow Growth
-8.52%119.83%14.10%205.88%--
FCF Margin
16.57%18.41%9.01%8.59%3.33%-7.93%
Free Cash Flow Per Share
0.570.610.260.220.08-0.20
Levered Free Cash Flow
15.4943.54122.9481.181.67-56.15
Unlevered Free Cash Flow
6.1834.4361.6958.61-2.74-50.73
SEC Filings: 10-K · 10-Q