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Autodesk Balance Sheet Statement

Assets, liabilities, and shareholders' equity

Autodesk holds $12.5B in total assets. Shareholders' equity is $3.0B against $251.0M in total debt. Cash and equivalents total $2.2B. The current ratio is 0.851 and debt-to-equity is 0.082. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-03-03
Market Cap$50.9B
P/E Ratio45.27
ROE39.68%

Non-Current Assets

MetricQ3 '25Q4 '25Q1 '26Q2 '26Q3 '26Q4 '26
Accumulated Goodwill Impairment Losses$149.0M$149.0M$149.0M$149.0M$149.0M
Deferred Tax Assets and Other Non-Current Assets$670.0M$777.0M$899.0M$978.0M$1.0B$1.3B
Equity Securities Without Readily Determinable Fair Value - Cumulative Downward Adjustments$160.0M$168.0M$168.0M$167.0M$156.0M
Equity Securities Without Readily Determinable Fair Value - Cumulative Impairment Loss$92.0M$93.0M$94.0M$108.0M
Equity Securities Without Readily Determinable Fair Value - Cumulative Upward Adjustments$29.0M$29.0M$29.0M$29.0M
Goodwill$4.3B$4.2B$4.3B$4.3B$4.3B$4.3B
Held-to-Maturity Debt Securities - Fair Value$22.0M$14.0M$8.0M$6.0M
Investments - Amortized Cost Basis$160.0M$168.0M$168.0M$167.0M$156.0M
Net Investment in Lease$184.0M$169.0M$147.0M$149.0M$152.0M$157.0M
Deferred tax assets$1.2B$1.2B$1.1B$1.1B$936.0M$842.0M
Intangible assets — net$594.0M$574.0M$549.0M$521.0M$493.0M
Other intangible assets—net$594.0M$574.0M$549.0M$521.0M$493.0M$467.0M
Long- term Investments$264.0M$267.0M$261.0M$282.0M$302.0M
Operating lease right-of-use assets$184.0M$169.0M$147.0M$149.0M$152.0M$157.0M
Other non-current assets$670.0M$777.0M$899.0M$978.0M$1.0B$1.3B
Property, plant and equipment at cost$569.0M$578.0M$590.0M$592.0M$588.0M
Operating Lease Right-of-Use Assets in Other Assets$184.0M$169.0M$147.0M$149.0M$152.0M$157.0M
Accumulated depreciation$453.0M$461.0M$479.0M$483.0M$470.0M
Property and equipment, net$116.0M$117.0M$111.0M$109.0M$118.0M$121.0M
Software and Technology Licenses, Net$670.0M$777.0M$899.0M$978.0M$1.0B$1.3B
Total assets$10.1B$10.8B$10.6B$10.9B$11.2B$12.5B

Other

MetricQ3 '25Q4 '25Q1 '26Q2 '26Q3 '26Q4 '26
Cumulative Cost Basis$569.0M$578.0M$590.0M$592.0M$588.0M
Gross Assets/Liabilities$10.0M$22.0M$57.0M$30.0M$25.0M
Income taxes payable – long-term$192.0M$200.0M$206.0M$210.0M$216.0M$181.0M
Capitalized Contract Cost, Net$257.0M$467.0M$587.0M$692.0M$755.0M
Cash Equivalents And Marketable Securities$1.4B$1.4B$1.6B$1.9B$1.9B
Cash Equivalents And Marketable Securities, Fair Value$1.4B$1.4B$1.6B$1.9B$2.0B
Debt Securities, Available-for-Sale, Allowance for Credit Loss$0.0$0.0$0.0$0.0$0.0
Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss$0.0$0.0$0.0$0.0$0.0
Deferred income taxes$35.0M$32.0M$31.0M$30.0M$27.0M$40.0M
Derivative Liability$10.0M$22.0M$57.0M$30.0M$25.0M
Trading securities, cost$160.0M$168.0M$168.0M$167.0M$156.0M
Finite-Lived Intangible Assets, Accumulated Amortization$1.4B$1.4B$1.5B$1.5B$1.6B
Gross Carrying Amount$2.0B$2.0B$2.0B$2.0B$2.1B
Sublease income payments, expect to receive, thereafter$30.0M$21.0M$20.0M$20.0M
Sublease income payments, expect to receive, for fiscal 2026 through fiscal 2030$36.0M$41.0M$40.0M$37.0M
Goodwill accumulated impairment losses$149.0M$149.0M$149.0M$149.0M$149.0M
Debt Securities, Held-to-Maturity, Maturity, Allocated and Single Maturity Date, Fair Value$540.0M$485.0M$515.0M$602.0M
Net gain expected to be recognized in next 24 months$8.0M$1.0M-$5.0M-$15.0M
Investments, Accumulated Gross Unrealized Gain, Before Tax$13.0M$13.0M$11.0M$19.0M$26.0M
Investments, Accumulated Gross Unrealized Loss, Before Tax$2.0M$1.0M$1.0M$0.0$0.0
Lessee Operating Lease Liability Payments Due$318.0M$278.0M$276.0M$274.0M
Thereafter$81.0M$52.0M$53.0M$54.0M
Lessee Operating Lease Liability Undiscounted Excess Amount$26.0M$22.0M$23.0M$22.0M
2028$0.0$500.0M$500.0M$500.0M
2029$500.0M$0.0$0.0$0.0
2030$0.0$500.0M$500.0M$500.0M
2027$300.0M$0.0$0.0$0.0
Remainder of 2026$0.0$300.0M$0.0$0.0
Thereafter$1.5B$1.0B$1.5B$1.5B
Long Term Notes Payable$2.0B$2.0B$2.0B$2.5B$2.5B$2.5B
Long-Lived Assets$300.0M$286.0M$258.0M$270.0M
Other accrued liabilities$147.0M$196.0M$182.0M$188.0M$177.0M$215.0M
Restructuring Reserve$15.0M$29.0M$8.0M$2.0M
Remaining performance obligations related to customer contracts that are unsatisfied or partially unsatisfied$2.1B$2.6B$2.6B$2.5B
RPO percentage34.0%36.0%36.0%34.0%
Remainder of Fiscal Year 2024$0.0$300.0M$0.0$0.0