Sprinklr CXM Cash Flow Statement
| Q1 '27 | Q4 '26 | Q3 '26 | Q2 '26 | Q1 '26 | ||
|---|---|---|---|---|---|---|
| $4.18M+367% | $8.95M-90.9% | $2.9M-72.2% | $12.62M+585% | -$1.57M-115% | ||
| $4.28M-8.5% | $4.94M+1.5% | $4.78M+1.7% | $4.67M+1.3% | $4.68M+3.8% | ||
| $20M-6.0% | $21.47M+40.0% | $20.38M+33.8% | $21.3M+41.2% | $21.28M+53.6% | ||
| $6.17M+117% | $5.55M+106% | $4.82M+6,073% | $6.98M— | $2.84M+937% | ||
| -$81.65M-0.6% | —— | -$52.45M-293% | —— | -$81.2M-3.2% | ||
| -$1.92M-128% | $11.07M+305% | -$5.77M— | $1.45M— | -$843K+94.4% | ||
| -$30.71M-43.1% | $9.63M— | $18.99M— | $3.98M— | -$21.46M+26.3% | ||
| $6.67M+345% | $6.48M-15.8% | —— | —— | -$2.72M-169% | ||
| $12K+271% | -$1K— | $0— | -$24K+82.5% | -$7K+91.1% | ||
| -$7.19M-285% | $96.65M-1.3% | -$60.75M-15.5% | -$11.32M-170% | -$1.87M+49.1% | ||
| $2.13M+11.3% | $2.1M+4.7% | $2.04M+0.8% | $2M-9.6% | $1.91M-1.9% | ||
| -$2.26M-16.1% | -$2.22M-35.2% | -$2.16M-71.1% | -$2.08M-87.6% | -$1.95M-24.9% | ||
| $70.38M-16.0% | $20.67M+285% | $19.96M+117% | $34.79M+63.2% | $83.78M+101% | ||
| $328K+13.5% | $540K-32.7% | $185K-81.0% | $365K-75.4% | $289K-88.6% | ||
| $69.02M-70.8% | $152.89M+129% | $94.25M-51.2% | $33.02M+1,581% | $236.68M+76.4% | ||
| $128.92M-2.3% | $105.95M-7.8% | $153.35M-5.1% | $130.66M-6.1% | $131.97M-13.8% | ||
| $0-100% | —— | —— | —— | $262K— | ||
| $55.34M+151% | -$51.68M-217% | $54.66M— | —— | -$108.04M-906% | ||
| $125M— | $0— | $11.42M— | $140.85M-19.0% | $0-100% | ||
| $130K-95.4% | $1.41M+42.1% | $945K-43.9% | $10.09M+32.9% | $2.85M-70.5% | ||
| -$124.87M-4,486% | $0— | -$10.47M— | -$127.97M+21.4% | $2.85M+103% | ||
| -$479K-116% | $721K+184% | $83K+124% | —— | $2.99M+342% | ||
| $364K+102% | —— | $64.23M+354% | -$1.27M+86.1% | -$18.43M+49.4% | ||
| $5.37M-6.2% | $9.32M+77.9% | $5.24M+146% | $4.49M+126% | $5.73M+246% | ||
| $142K-85.8% | $1.8M-33.5% | $1.02M-57.5% | $2.59M-13.3% | $999K-77.6% | ||
| $868K-56.0% | —— | —— | $496K-95.1% | $1.97M+90.0% | ||
| -$30.71M-43.1% | $9.63M— | $18.99M— | $3.98M— | -$21.46M+26.3% | ||
| -$2.26M-16.1% | -$2.22M-35.2% | -$2.16M-71.1% | -$2.08M-87.6% | -$1.95M-24.9% | ||
| $6.67M+365% | $1.24M-80.5% | $14M— | $4.9M— | $1.43M-90.9% | ||
| $2.13M+11.3% | $2.1M+4.7% | $2.04M+0.8% | $2M-9.6% | $1.91M-1.9% | ||
| $12K+271% | -$1K— | $0— | -$24K+82.5% | -$7K+91.1% | ||
| $0-100% | —— | —— | —— | $262K— | ||
| $4.23M+51.9% | $4.2M+38.8% | $4.26M+28.3% | $4.67M+41.0% | $2.79M-6.4% | ||
| $128.92M-2.3% | $105.95M-7.8% | $153.35M-5.1% | $130.66M-6.1% | $131.97M-13.8% | ||
| $1.66M-13.1% | —— | —— | $584K— | $1.91M-59.6% | ||
| $141K+135% | —— | $286K— | $23K-77.0% | $60K-94.3% | ||
| -$7.19M-285% | $96.65M-1.3% | -$60.75M-15.5% | -$11.32M-170% | -$1.87M+49.1% | ||
| -$2.26M-16.1% | -$2.22M-35.2% | -$2.16M-71.1% | -$2.08M-87.6% | -$1.95M-24.9% | ||
| $0-100% | $543K— | $2.8M+128% | $0-100% | $3.02M-84.6% | ||
| $706K-23.0% | $764K+7.2% | $731K+13.7% | $388K-38.5% | $917K+66.4% | ||
| $70.05M-16.1% | $20.13M+341% | $19.78M+141% | $34.43M+73.5% | $83.49M+113% | ||
| $70.05M-16.1% | $20.13M+341% | $19.78M+141% | $34.43M+73.5% | $83.49M+113% |
Chart any of these lines over time, or line them up against competitors.
Compare these in charts →Questions, answered.
- How much cash does Sprinklr generate?
- Sprinklr (CXM) generated $145.8M in operating cash flow over the trailing twelve months.
- What is Sprinklr's free cash flow?
- After $1.4M of capital expenditures, Sprinklr's free cash flow was $144.4M over the trailing twelve months, up 24.3% year over year.
- Where does Sprinklr's cash flow data come from?
- Every line is extracted from Sprinklr's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.
