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10-Q

Quarterly Report

Sprinklr, Inc. CXM

0001569345-25-000028

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Filed
Jun 5, 2025 12:00 AM ET
Period of report

On SEC.gov

Financials in this filing

Metric Period Value
Cash And Equivalents Q1 2026 · Apr 30, 2025 $126.42M
Cash And Equivalents Q1 2026 · Jan 31, 2025 $145.27M
Current Liabilities Q1 2026 · Apr 30, 2025 $495.49M
Current Liabilities Q1 2026 · Jan 31, 2025 $517.58M
Total Liabilities Q1 2026 · Apr 30, 2025 $549.74M
Total Liabilities Q1 2026 · Jan 31, 2025 $572.14M
Current Assets Q1 2026 · Apr 30, 2025 $862.17M
Current Assets Q1 2026 · Jan 31, 2025 $854.1M
Total Assets Q1 2026 · Apr 30, 2025 $1.19B
Total Assets Q1 2026 · Jan 31, 2025 $1.18B
Shares Diluted Q1 2026 · Apr 30, 2024 284.03M sh
Stock Repurchased Q1 2026 · Apr 30, 2024 $99.98M
Capex Q1 2026 · Apr 30, 2024 $2.55M
Operating Cash Flow Q1 2026 · Apr 30, 2024 $41.71M
Stockholders Equity Q1 2026 · Apr 30, 2024 $610.93M
Stockholders Equity Q1 2026 · Jan 31, 2024 $679.7M
Eps Diluted Q1 2026 · Apr 30, 2024 $0.04
Eps Basic Q1 2026 · Apr 30, 2024 $0.04
Sga Expense Q1 2026 · Apr 30, 2024 $29.1M
Rd Expense Q1 2026 · Apr 30, 2024 $22.54M
Net Income Q1 2026 · Apr 30, 2024 $10.63M
Operating Income Q1 2026 · Apr 30, 2024 $5.71M
Gross Profit Q1 2026 · Apr 30, 2024 $144.83M
Cost Of Revenue Q1 2026 · Apr 30, 2024 $51.13M
Revenue Q1 2026 · Apr 30, 2024 $195.96M