MetaCap

Sprinklr Balance Sheet

NYSE: CXMTechnologyComputer Software: Prepackaged SoftwareUSD

5.52+0.10 (+1.85%)

At close: Oct 9, 4:00 PM ET · Delayed 15 min

Sprinklr financial position

At the end of fiscal 2026, Sprinklr reported total assets of $1.21 billion, up 1.8% from a year earlier against total liabilities of $612.4 million. Shareholders' equity stood at $592.6 million, or 49.2% of assets. The company held $163.0 million in cash and equivalents.

The current ratio (current assets divided by current liabilities) was 1.60, meaning short-term assets cover obligations due within a year.

Summary generated from market data by MetaCap's automated system. Methodology

Sprinklr balance sheet (annual)

Sprinklr annual balance sheet
Fiscal year (USD)FY 20262026-01-31FY 20252025-01-31FY 20242024-01-31FY 20232023-01-31FY 20222022-01-31FY 20212021-01-31FY 20202020-01-31
Cash & Equivalents162.97M145.27M164.02M188.39M321.43M68.04M10.47M
Total Current Assets887.98M854.10M1.00B862.53M805.26M498.06M—
Property, Plant & Equipment33.45M31.59M32.18M22.89M14.71M9.01M—
Goodwill49.88M49.96M50.03M50.03M49.91M46.82M47.10M
Total Assets1.21B1.18B1.22B1.02B920.05M597.01M—
Accounts Payable33.78M27.35M34.69M30.10M15.80M16.95M—
Short-Term Debt————00—
Total Current Liabilities554.09M517.58M508.16M458.90M395.05M301.56M—
Long-Term Debt————078.85M—
Total Liabilities612.42M572.14M543.41M475.66M404.20M403.16M—
Shareholders' Equity592.64M612.06M679.70M549.33M515.85M193.85M-22.35M
Retained Earnings-300.69M-626.07M-474.79M-496.61M-441.63M-330.16M—
Total Debt————078.85M—
Net Cash (Debt)162.97M145.27M164.02M188.39M321.43M-10.81M10.47M
Shares Outstanding————095.46M—

This table shows 7 annual periods of Sprinklr's balance sheet, from FY 2026 back to FY 2020, across 15 line items including cash & equivalents, total current assets, property, plant & equipment. Values in USD; B = billions, M = millions. Fiscal periods follow CXM's reporting calendar. What is a balance sheet?

More financial data