Sprinklr Cash Flow Statement Analysis

Operating, investing, and financing activities in millions USD

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Cash flow statement showing operating, investing, and financing activities for Sprinklr, Inc. (CXM) - Annual data in millions USD
BreakdownFY 2025FY 2024FY 2023FY 2022FY 2021
Period EndingJan 2025Jan 2024Jan 2023Jan 2022Jan 2021
Operating Activities
Net Income121.6151.40-55.74-111.47-37.97
Depreciation & Amortization18.6815.4715.9411.323.16
Deferred Income Tax-88.07-2.670.170.240.00
Stock Based Compensation59.5255.7655.5250.1343.88
Change in Working Capital-41.56-45.8525.2118.55-9.90
Change in Accounts Receivable-30.01-68.71-44.75-47.09-9.78
Change in Accounts Payable-7.053.3314.46-1.106.08
Change in Other Working Capital-4.508.46-4.4811.10-23.71
Other Operating Activities7.418.4641.2548.674.92
Net Cash from Operating Activities77.5971.4726.66-32.927.31
Investing Activities
Capital Expenditures-5.80-20.3316.4512.41-2.70
Acquisitions0.000.000.00-3.630.00
Purchases of Investments-396.15-604.65-177.050.38-212.97
Sales/Maturities of Investments568.71514.40-177.050.38-3.78
Other Investing Activities-12.630.000.000.000.00
Net Cash from Investing Activities154.13-110.57-193.49-15.65-219.46
Financing Activities
Debt Repayment0.000.000.000.00-49.97
Common Stock Issued0.0050.7710.23283.0816.33
Common Stock Repurchased-273.87-26.680.000.00-5.87
Other Financing Activities25.720.000.000.006.56
Net Cash from Financing Activities-248.1624.0934.97303.13269.78
Summary
Effect of Forex Changes on Cash-2.45-0.94-1.18-1.170.00
Net Change in Cash-18.90-15.02-131.86254.5657.57
Cash at Beginning of Period172.43188.39321.4368.040.00
Cash at End of Period153.53172.43188.39321.430.00
Free Cash Flow71.7951.1420.57-39.074.61
Supplemental Disclosures
Interest Paid0.000.000.000.000.22
Income Taxes Paid11.017.656.643.463.19