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NASDAQ:CRWD

CrowdStrike Holdings, Inc.

  • Stock

USD

Last Close

254.15

26/07 20:00

Market Cap

91.13B

Beta: 1.04

Volume Today

9.52M

Avg: 4.52M

PE Ratio

−5,455.23

PFCF: 84.30

Preview

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Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
-91.34M
-
-135.49M
48.34%
-140.08M
3.39%
-141.78M
1.22%
-92.63M
34.67%
-232.38M
150.87%
-182.28M
21.56%
89.33M
149.00%
depreciation and amortization
3.02M
-
7.74M
156.17%
15.40M
98.97%
23.51M
52.70%
40.14M
70.73%
68.81M
71.41%
93.81M
36.33%
145.25M
54.84%
deferred income tax
149K
-
664K
345.64%
3.17M
376.81%
5.33M
68.38%
-1.30M
124.35%
-13.96M
975.19%
1.31M
109.36%
-3.39M
359.34%
stock based compensation
1.99M
-
12.34M
519.01%
20.50M
66.13%
79.94M
289.86%
149.68M
87.23%
309.95M
107.08%
526.50M
69.87%
631.52M
19.95%
change in working capital
29.08M
-
42.46M
46.01%
49.30M
16.11%
97.47M
97.71%
185.61M
90.43%
321.72M
73.33%
320.44M
0.40%
51.53M
83.92%
accounts receivables
-8.46M
-
-35.27M
316.68%
-33.41M
5.26%
-73.07M
118.68%
-72.48M
0.81%
-125.35M
72.95%
-258.11M
105.90%
-217.70M
15.66%
inventory
6.57M
-
58.94M
797.05%
accounts payables
-6.57M
-
11.32M
272.37%
33.25M
193.58%
-15.46M
146.51%
-18.90M
22.21%
other working capital
37.54M
-
77.73M
107.03%
82.71M
6.41%
170.54M
106.18%
187.83M
10.14%
413.83M
120.32%
594.01M
43.54%
288.12M
51.50%
other non cash items
5.10M
-
13.52M
165.14%
28.74M
112.62%
35.47M
23.41%
75.06M
111.64%
120.63M
60.71%
181.23M
50.23%
251.97M
39.03%
net cash provided by operating activities
-52.00M
-
-58.77M
13.02%
-22.97M
60.92%
99.94M
535.14%
356.57M
256.77%
574.78M
61.20%
941.01M
63.71%
1.17B
23.93%
investments in property plant and equipment
-12.65M
-
-29.75M
135.27%
-42.65M
43.32%
-87.49M
105.15%
-63.84M
27.03%
-133.69M
109.40%
-266.44M
99.30%
-237.11M
11.01%
acquisitions net
6.06M
-
-6.47M
206.85%
6.79M
204.99%
7.29M
7.29%
-85.52M
1,273.23%
-414.52M
384.72%
-18.35M
95.57%
-230.94M
1,158.61%
purchases of investments
-12.07M
-
-9.56M
20.82%
-199.34M
1,985.31%
-780.70M
291.65%
-86.40M
88.93%
-16.31M
81.12%
-271.87M
1,567.01%
-212.76M
21.74%
sales maturities of investments
12.87M
-
17.45M
35.68%
99.95M
472.62%
238.56M
138.68%
731.19M
206.51%
21.55M
97.05%
31.42M
45.82%
350.28M
1,014.91%
other investing activites
-6.06M
-
-6.79M
-
-7.29M
7.29%
-21.55M
-
-31.42M
45.82%
-2.03M
93.54%
net cash used for investing activites
-11.85M
-
-28.33M
138.99%
-142.03M
401.34%
-629.63M
343.31%
495.43M
178.69%
-564.52M
213.95%
-556.66M
1.39%
-332.56M
40.26%
debt repayment
-2.40M
-
-19.32M
705.17%
-26.16M
35.37%
-736.24M
-
-219K
99.97%
-1.59M
626.48%
common stock issued
665.09M
-
63.09M
90.51%
15.90M
74.80%
8.65M
45.56%
85.07M
882.90%
common stock repurchased
12.37M
-
34.26M
177.10%
50.28M
46.74%
59.42M
18.18%
76.38M
28.54%
dividends paid
-799.34M
-
-50.28M
93.71%
other financing activites
19.86M
-
146.16M
635.93%
216.55M
48.16%
28.69M
86.75%
2.24B
7,702.68%
56.85M
97.46%
10.95M
80.73%
-76.38M
797.23%
net cash used provided by financing activities
17.46M
-
126.83M
626.41%
190.39M
50.11%
706.14M
270.90%
800.13M
13.31%
72.53M
90.94%
77.44M
6.76%
85.07M
9.86%
effect of forex changes on cash
618K
-
-162K
126.21%
-66K
59.26%
1.68M
2,648.48%
-4.77M
383.83%
-1.50M
68.68%
1.96M
230.97%
net change in cash
-46.39M
-
40.35M
186.98%
25.23M
37.48%
176.39M
599.16%
1.65B
837.59%
78.03M
95.28%
460.29M
489.93%
919.70M
99.81%
cash at beginning of period
69.22M
-
22.83M
67.02%
63.18M
176.79%
88.41M
39.93%
264.80M
199.52%
1.92B
624.56%
2.00B
4.07%
2.46B
22.98%
cash at end of period
22.83M
-
63.18M
176.79%
88.41M
39.93%
264.80M
199.52%
1.92B
624.56%
2.00B
4.07%
2.46B
23.05%
3.38B
37.37%
operating cash flow
-52.00M
-
-58.77M
13.02%
-22.97M
60.92%
99.94M
535.14%
356.57M
256.77%
574.78M
61.20%
941.01M
63.71%
1.17B
23.93%
capital expenditure
-12.65M
-
-29.75M
135.27%
-42.65M
43.32%
-87.49M
105.15%
-63.84M
27.03%
-133.69M
109.40%
-266.44M
99.30%
-237.11M
11.01%
free cash flow
-64.64M
-
-88.52M
36.93%
-65.61M
25.88%
12.46M
118.98%
292.72M
2,250.06%
441.10M
50.69%
674.57M
52.93%
929.10M
37.73%

All numbers in USD (except ratios and percentages)