Recent Annual Filings for CRWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $8,701,578,000 $3,953,624,000 $3,899,090,000 $-24,526,000 $1,381,727,000 $107,208,000 $947,069,000
2024 $6,646,520,000 $3,055,555,000 $2,932,738,000 $89,941,000 $1,166,207,000 $93,158,000 $920,673,000
2023 $5,026,540,000 $2,241,236,000 $2,401,119,000 $-182,064,000 $941,007,000 $77,437,000 $460,291,000
2022 $3,618,381,000 $1,451,594,000 $1,611,617,000 $-235,937,000 $574,784,000 $72,531,000 $78,025,000
2021 $2,732,533,000 $874,438,000 $962,307,000 $-91,319,000 $356,566,000 $800,135,000 $1,653,810,000
2020 $1,404,906,000 $481,413,000 $621,195,000 $-140,868,000 $99,943,000 $706,144,000 $176,390,000