
| Metric | FY2026 | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 |
|---|---|---|---|---|---|---|---|---|---|
| Cash and cash equivalents | $602.4M-7.1% | $648.6M-18.6% | $797.1M+10.4% | $721.9M+41.8% | $509.1M-10.1% | $566.1M+134.7% | $241.2M-53.4% | $517.8M+101.6% | $256.9M |
| Investments—current | $264.1M-16.1% | $314.9M+26.8% | $248.4M-19.8% | $309.8M+5.4% | $293.8M+41.6% | $207.4M-50.0% | $414.9M+65.2% | $251.2M | — |
| Accounts receivable, net of allowance for doubtful accounts of $9,916 and $8,828 as of January 31, 2026 and 2025 | $516.4M+20.2% | $429.6M-2.2% | $439.3M-15.0% | $516.9M+17.2% | $440.9M+36.3% | $323.6M+36.0% | $237.8M+36.3% | $174.5M+41.0% | $123.8M |
| Contract assets—current | $10.8M-21.7% | $13.8M-13.6% | $15.9M+28.0% | $12.4M-1.2% | $12.6M-25.4% | $16.9M+35.0% | $12.5M+17.8% | $10.6M-25.6% | $14.3M |
| Prepaid expenses and other current assets | $97.1M+17.9% | $82.4M+23.0% | $67.0M-4.3% | $70.0M+10.7% | $63.2M+30.7% | $48.4M+29.4% | $37.4M+24.8% | $30.0M+28.4% | $23.3M |
| Total current assets | $1.49B+0.1% | $1.49B-5.0% | $1.57B-3.9% | $1.63B+23.6% | $1.32B+13.5% | $1.16B+23.1% | $943.9M-4.1% | $984.5M+135.1% | $418.8M |
| Investments—noncurrent | $208.4M+55.4% | $134.1M+9.9% | $122.0M-34.4% | $186.0M+96.0% | $94.9M+2.4% | $92.7M-61.3% | $239.7M+46.0% | $164.2M | $0 |
| Property and equipment, net | $361.8M+20.9% | $299.4M+22.1% | $245.2M+22.7% | $199.9M+8.2% | $184.7M+11.9% | $165.0M+28.6% | $128.3M+69.2% | $75.8M+20.3% | $63.0M |
| Operating lease right-of-use assets | $165.6M+51.0% | $109.6M-11.0% | $123.2M-12.9% | $141.5M+12.3% | $126.0M-20.9% | $159.4M+6.4% | $149.8M | $0 | — |
| Goodwill | $458.4M+0.9% | $454.5M+28.7% | $353.1M-0.1% | $353.6M-0.4% | $355.1M+1.4% | $350.2M+79.7% | $194.9M-0.2% | $195.2M+423.3% | $37.3M |
| Intangible assets, net | $61.4M-19.6% | $76.4M+50.1% | $50.9M-27.6% | $70.3M-28.9% | $98.8M-18.9% | $121.8M+115.6% | $56.5M-23.9% | $74.2M+424.5% | $14.1M |
| Deferred contract acquisition costs—noncurrent | $474.6M+1.6% | $467.2M+14.1% | $409.6M+16.7% | $350.9M+12.5% | $311.8M+19.9% | $260.1M+69.7% | $153.3M+36.2% | $112.6M+49.0% | $75.5M |
| Deferred tax assets—noncurrent | $835.2M-0.6% | $840.5M+41282.1% | $2.0M | — | — | — | — | — | — |
| Other assets—noncurrent | $173.2M+22.2% | $141.8M+45.3% | $97.6M+22.8% | $79.5M+57.9% | $50.3M+101.8% | $24.9M+1.1% | $24.7M+179.4% | $8.8M-20.9% | $11.2M |
| Total assets | $4.23B+5.4% | $4.01B+35.0% | $2.97B-1.4% | $3.01B+18.6% | $2.54B+8.8% | $2.34B+23.6% | $1.89B+17.1% | $1.62B+160.6% | $620.0M |
| Accounts payable | $17.4M-43.3% | $30.7M+61.3% | $19.0M-22.0% | $24.4M-53.8% | $52.8M+41.3% | $37.4M+32.8% | $28.1M+43.7% | $19.6M-17.4% | $23.7M |
| Accrued expenses and other current liabilities | $113.4M+13.8% | $99.6M-4.3% | $104.0M+3.0% | $101.0M+10.5% | $91.4M+37.3% | $66.6M+22.5% | $54.3M+52.4% | $35.7M+126.6% | $15.7M |
| Accrued compensation | $260.8M+14.8% | $227.1M+16.3% | $195.3M+19.7% | $163.1M+1.9% | $160.2M+2.6% | $156.2M+87.7% | $83.2M+7.3% | $77.6M+52.5% | $50.9M |
| Contract liabilities—current | $1.63B+12.1% | $1.46B+10.3% | $1.32B+12.5% | $1.17B+13.9% | $1.03B+32.1% | $779.6M+53.6% | $507.6M+33.2% | $381.1M+41.0% | $270.2M |
| Operating lease liabilities—current | $16.6M-12.9% | $19.1M-14.2% | $22.2M-7.6% | $24.1M-35.7% | $37.4M+13.4% | $33.0M+59.1% | $20.7M | $0 | — |
| Total current liabilities | $2.04B+11.3% | $1.83B+10.3% | $1.66B-24.8% | $2.21B+61.0% | $1.37B+25.5% | $1.09B+57.5% | $694.0M+34.4% | $516.3M+38.1% | $373.8M |
| Contract liabilities—noncurrent | $30.0M+39.2% | $21.5M-2.1% | $22.0M+29.9% | $16.9M+1.2% | $16.7M+1.4% | $16.5M+43.7% | $11.5M+48.8% | $7.7M-0.3% | $7.7M |
| Operating lease liabilities—noncurrent | $168.5M+59.9% | $105.3M-12.8% | $120.8M-14.5% | $141.3M+11.9% | $126.3M-23.8% | $165.7M+2.0% | $162.4M | $0 | — |
| Deferred tax liability—noncurrent | $21.5M+4.4% | $20.6M+22.6% | $16.8M+56.6% | $10.7M+15.1% | $9.3M+44.1% | $6.5M+31.4% | $4.9M+16.9% | $4.2M+67.5% | $2.5M |
| Other liabilities—noncurrent | $52.4M+70.9% | $30.6M+43.6% | $21.3M+17.8% | $18.1M-22.1% | $23.3M-28.1% | $32.3M+382.9% | $6.7M-31.0% | $9.7M+141.8% | $4.0M |
| Total liabilities | $2.31B+15.0% | $2.01B+9.1% | $1.84B-23.1% | $2.40B+5.7% | $2.27B+12.9% | $2.01B+49.3% | $1.34B+34.3% | $1.00B+143.5% | $411.1M |
| Preferred stock, $0.0001 par value; 10,000 shares authorized, 0 shares issued and outstanding as of January 31, 2026 and 2025 | $0 | $0 | $0 | $0 | — | — | — | — | $0 |
| Common stock, $0.0001 par value; 500,000 shares authorized, 197,765 shares issued and outstanding as of January 31, 2026; 500,000 shares authorized, 202,507 shares issued, 202,477 shares outstanding as of January 31, 2025 | 20K+0.0% | 20K-4.8% | 21K+5.0% | 20K | — | — | — | — | 4K |
| Treasury stock, at cost: 0 shares as of January 31, 2026; 30 shares as of January 31, 2025 | $0+100.0% | -$2.9M-32.7% | -$2.2M-21.2% | -$1.8M-16.5% | -$1.5M | — | — | — | — |
| Additional paid-in capital | $3.78B+13.8% | $3.32B+17.7% | $2.82B+25.9% | $2.24B+30.3% | $1.72B+1.0% | $1.70B+1.0% | $1.69B+9.1% | $1.55B+864.1% | $160.3M |
| Accumulated other comprehensive loss | -$3.7M+86.9% | -$28.4M-46.6% | -$19.4M+15.8% | -$23.0M-378.2% | -$4.8M-196.9% | $5.0M+396.7% | -$1.7M+14.9% | -$2.0M-157.7% | $3.4M |
| Accumulated deficit | -$1.86B-44.2% | -$1.29B+22.9% | -$1.67B-4.5% | -$1.60B-11.2% | -$1.44B-4.2% | -$1.38B-21.4% | -$1.14B-22.4% | -$928.8M-84.9% | -$502.3M |
| Total stockholders’ equity | $1.92B-4.2% | $2.00B+77.3% | $1.13B+83.0% | $617.3M+124.1% | $275.5M-15.4% | $325.7M-40.4% | $546.3M-11.1% | $614.4M+281.4% | -$338.6M |
| Total liabilities and equity | $4.23B+5.4% | $4.01B+35.0% | $2.97B-1.4% | $3.01B+18.6% | $2.54B+8.8% | $2.34B+23.6% | $1.89B+17.1% | $1.62B+160.6% | $620.0M |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.