Sprinklr, Inc. (CXM)

↓ Download CSV

CIK 0001569345 · NYSE · Services-Prepackaged Software

  • Sector Services
  • Incorporated DE
  • Fiscal year ends Jan 31

In fiscal 2026, Sprinklr, Inc. reported revenue of $857.20M, up 7.6% from the prior year. The company was profitable, with a net margin of 2.7% and a gross margin of 67.4%. It held $1.21B in total assets against $612.42M in total liabilities.

Key ratios (FY2026)

67.4%
Gross margin
4.7%
Operating margin
2.7%
Net margin
3.9%
Return on equity
+7.6%
Revenue growth (YoY)
Metric (FY)2026202520242023202220212020
Revenue$857.20M$796.39M$732.36M$618.19M$492.39M$386.93M$324.28M
Cost of Revenue$279.42M$221.76M$179.40M$163.72M$147.55M$122.08M$123.16M
Gross Profit$577.78M$574.64M$552.96M$454.46M$344.84M$264.85M$201.12M
Operating Income$40.24M$23.97M$33.95M-$51.22M-$99.47M-$25.58M-$35.53M
Net Income$22.91M$121.61M$51.40M-$55.74M-$111.47M-$37.97M-$39.75M
EPS (Diluted)$0.09$0.44$0.18$-0.21$-0.57$-0.42$-0.47
Total Assets$1.21B$1.18B$1.22B$1.02B$920.05M$597.01M
Total Liabilities$612.42M$572.14M$543.41M$475.66M$404.20M$403.16M
Shareholders' Equity$592.64M$612.06M$679.70M$549.33M$515.85M$193.85M
Cash & Equivalents$162.97M$145.27M$164.02M$188.39M$321.43M$68.04M
Operating Cash Flow$159.19M$77.59M$71.47M$26.66M-$32.92M$7.31M$18.97M
Capital Expenditures$1.38M$5.80M$8.55M$6.09M$6.15M$2.70M$2.63M
Shares Outstanding257.96M274.77M287.09M259.53M195.02M90.38M84.34M