Investor Alert

CrowdStrike Holdings Inc. Cl A



After Hours

 --Quotes are delayed by 20 min

Dec 7, 2021, 7:58 p.m.





+0.58 +0.28%


Volume 129,252

Quotes are delayed by 20 min


Previous close

$ 194.71

$ 204.32


+9.61 +4.94%

Day low

Day high




52 week low

52 week high




Annual Financials for CrowdStrike Holdings Inc. Cl A


Fiscal year is February-January. All values USD millions. 20172018201920202021 5-year trend
Cash & Short Term Investments 33.45M65.77M191.66M912.06M1.92B
Cash Only 22.83M63.18M88.41M264.8M1.92B
Short-Term Investments 10.62M2.59M103.25M647.27M-
Total Accounts Receivable 24.65M59.81M92.48M164.99M239.2M
Accounts Receivables, Net 24.65M59.81M92.48M164.99M239.2M
Accounts Receivables, Gross 24.7M60.26M93.48M166.09M240.4M
Bad Debt/Doubtful Accounts (45,000)(445,000)(1M)(1.1M)(1.2M)
Other Receivables -----
Inventories -----
Finished Goods -----
Work in Progress -----
Raw Materials -----
Progress Payments & Other -----
Other Current Assets 5.47M12.41M18.41M51.61M53.62M
Miscellaneous Current Assets 931,0002.14M1.11M6.52M4.57M
Total Current Assets 63.57M138M302.54M1.13B2.21B
20172018201920202021 5-year trend
Net Property, Plant & Equipment 15.08M40.75M73.74M136.08M203.5M
Property, Plant & Equipment - Gross 20.28M53.11M100.42M185.74M292.03M
Buildings -----
Land & Improvements -----
Computer Software and Equipment 17.64M45.06M68.4M120.12M193.79M
Other Property, Plant & Equipment 1.6M4.49M12.56M17.99M26.23M
Accumulated Depreciation 5.2M12.36M26.69M49.66M88.53M
Total Investments and Advances ---1M2.5M
Other Long-Term Investments ---1M2.5M
Long-Term Note Receivable 2.25M----
Intangible Assets 403,00010.16M9M8.25M99.24M
Net Goodwill -8.42M7.95M7.72M83.57M
Net Other Intangibles 403,0001.74M1.05M527,00015.68M
Other Assets 10.07M28.8M47.95M130.91M215.87M
Tangible Other Assets 596,0006.46M6.28M16.71M17.11M
Total Assets 91.37M217.7M433.22M1.4B2.73B

Liabilities & Shareholders' Equity

20172018201920202021 5-year trend
ST Debt & Current Portion LT Debt 19.59M---8.98M
Short Term Debt ----8.98M
Current Portion of Long Term Debt 19.59M----
Accounts Payable 2.46M12.26M6.86M1.35M12.07M
Income Tax Payable -----
Other Current Liabilities 67.01M153.63M274.57M491.75M842.51M
Dividends Payable -----
Accrued Payroll 9.71M19.04M20.23M36.81M71.91M
Miscellaneous Current Liabilities 57.3M134.59M254.33M454.94M770.6M
Total Current Liabilities 89.06M165.89M281.42M493.1M863.55M
Long-Term Debt 4.88M15.97M--770.02M
Long-Term Debt excl. Capitalized Leases 4.88M15.97M--738.03M
Non-Convertible Debt 4.88M15.97M--738.03M
Convertible Debt -----
Capitalized Lease Obligations -----
Provision for Risks & Charges -----
Deferred Taxes -----
Deferred Taxes - Credit -----
Deferred Taxes - Debit -----
Other Liabilities 26.17M54.3M81.68M169.2M227.09M
Other Liabilities (excl. Deferred Income) 881,0004.35M10.31M11.02M17.18M
Deferred Income 25.28M49.95M71.37M158.18M209.91M
Total Liabilities 120.1M236.16M363.1M662.3M1.86B
Non-Equity Reserves -----
Preferred Stock (Carrying Value) 214.73M351.02M557.91M--
Redeemable Preferred Stock 214.73M351.02M557.91M--
Non-Redeemable Preferred Stock -----
Common Equity (Total) (243.45M)(369.47M)(487.79M)742.11M870.57M
Common Stock Par/Carry Value 20,00022,00024,000106,000112,000
Retained Earnings (243.46M)(378.95M)(519.13M)(637.49M)(730.12M)
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -----
Unrealized Gain/Loss Marketable Securities -----
Revaluation Reserves -----
Treasury Stock -----
Total Shareholders' Equity (28.73M)(18.46M)70.12M742.11M870.57M
Accumulated Minority Interest ---500,0001.3M
Total Equity (28.73M)(18.46M)70.12M742.61M871.87M
Liabilities & Shareholders' Equity 91.37M217.7M433.22M1.4B2.73B
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