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Zscaler Balance Sheet Statement

Assets, liabilities, and shareholders' equity

Zscaler holds $7.1B in total assets. Shareholders' equity is $2.4B against $1.7B in total debt. Cash and equivalents total $982.1M. The current ratio is 1.86 and debt-to-equity is 0.731. Based on the Q2 2026 filing.

Latest FilingQ2 2026
Report Date2026-05-26
Market Cap$29.3B
ROE-3.71%

Current Assets

MetricQ2 '25Q3 '25Q4 '25Q1 '26Q2 '26Q3 '26
Accounts receivable, net$514.3M$615.8M$992.2M$530.5M$551.8M$730.5M
Available-for-Sale Debt Securities$1.1B$1.0B$1.2B$2.0B$2.3B$2.6B
Available-for-Sale Debt Securities - Amortized Cost$1.1B$1.0B$1.2B$2.0B$2.3B$2.6B
Available-for-Sale Debt Securities - Amortized Cost (Due Within One Year)$523.1M$482.9M$514.1M$469.5M$518.6M
Available-for-Sale Debt Securities - Unrealized Loss Position (>=12 Months)$1.5M$0.0$0.0$17.2M$0.0$0.0
AFS and Trading Securities - Unrealized Loss Position (>=12 Months)$1.5M$0.0$0.0$17.2M$0.0$0.0
AFS and Trading Securities - Unrealized Loss Position (<12 Months) Fair Value$380.7M$343.7M$553.3M$546.7M$506.7M$1.7B
Available-for-Sale Debt Securities - Unrealized Loss Position (<12 Months)$380.7M$343.7M$553.3M$546.7M$506.7M$1.7B
Available-for-Sale Debt Securities - Unrealized Loss Position$1.5M$415.0K$1.0M$952.0K$642.0K$7.3M
AFS and Trading Securities - Unrealized Loss Position (>=12 Months) Fair Value$1.5M$0.0$0.0$17.2M$0.0$0.0
AFS and Trading Securities - Unrealized Loss Position Fair Value$382.2M$343.7M$553.3M$563.9M$506.7M$1.7B
AFS and Trading Securities - Unrealized Loss Position (<12 Months) Fair Value$380.7M$343.7M$553.3M$546.7M$506.7M$1.7B
Capitalized Contract Costs, Current$156.1M$165.8M$180.8M$182.6M$188.7M$196.7M
Cash and cash equivalents$1.8B$2.0B$2.4B$1.3B$1.2B$982.1M
Cash, Cash Equivalents, and Marketable Securities$382.2M$343.7M$553.3M$563.9M$506.7M$1.7B
Deferred costs$156.1M$165.8M$180.8M$182.6M$188.7M$196.7M
Debt securities - current$1.1B$1.0B$1.2B$2.0B$2.3B$2.6B
Accrued investment income$13.0M$14.6M$17.9M$24.8M$23.7M$26.6M
Trading assets$523.6M$483.4M$515.1M$470.7M$519.5M
Prepaid expenses and other current assets$114.6M$128.3M$148.9M$171.6M$197.5M$187.9M
Total current assets$3.7B$3.9B$4.9B$4.2B$4.5B$4.7B
Trading Securities in Marketable Securities$10.6M$10.6M$10.6M$10.6M$12.6M$14.2M

Equity

MetricQ2 '25Q3 '25Q4 '25Q1 '26Q2 '26Q3 '26
Additional paid-in capital$2.8B$3.0B$3.0B$3.2B$3.4B$3.6B
AFS and Trading Securities - Unrealized Loss Position (>=12 Months) Accumulated Loss$2.0K$0.0$0.0$7.0K$0.0$0.0
Accumulated other comprehensive income (loss)-$22.3M$16.2M$8.1M$7.9M$15.2M-$7.7M
Common stock1B1B1B1B1B1B
Common Stock Par Value Per Share$0.00$0.00$0.00$0.00$0.00$0.00
Common Stock Shares Issued154.7M155.7M158.3M159.5M160.6M161.7M
Common Stock Shares Outstanding$8.7M$10.6M$11.9M$14.8M$118.0K$12.0K
Convertible Preferred Stock Authorized Shares200M200M200M200M200M200M
Convertible Preferred Stock Issued Shares000000
Convertible Preferred Stock Outstanding Shares000000
Common stock; $0.001 par value; 6,000 shares authorized; 3,755 and 3,751 shares issued and outstanding as of March&#160;31, 2026 and December&#160;31, 2025, respectively$155.0K$156.0K$159.0K$159.0K$161.0K$162.0K
Preferred stock; $0.001 par value; 100 shares authorized; no shares issued and outstanding$0.0$0.0$0.0$0.0$0.0$0.0
Investments - Gross Unrealized Losses$382.2M$343.7M$553.3M$563.9M$506.7M$1.7B
Number of Exercisable Options66K62K47K38K44K50K
Preferred stock$0.0$0.0$0.0$0.0$0.0$0.0
Preferred Stock Par Value Per Share$0.00$0.00$0.00$0.00$0.00$0.00
Retained earnings-$1.2B-$1.2B-$1.2B-$1.2B-$1.2B-$1.2B
Share-Based Payment Award Options Outstanding - Number181K171K177K151K151K150K
Total liabilities and stockholders' equity$5.0B$5.3B$6.4B$6.5B$6.8B$7.1B
Total stockholders' equity$1.6B$1.8B$1.8B$2.0B$2.2B$2.4B
Unrealized Gains on Investments$2.1M$3.5M$1.9M$5.1M$6.1M$1.7M
Unrealized Losses on Investments (Before Tax)$1.5M$415.0K$1.0M$952.0K$642.0K$7.3M
Weighted Average Exercise Price of Outstanding Options$154.95$163.80$220.95$232.74$232.74$232.74

Non-Current Assets

MetricQ2 '25Q3 '25Q4 '25Q1 '26Q2 '26Q3 '26
Capitalized Contract Costs, Net$440.4M$463.9M$509.5M$505.1M$519.3M$544.5M
Deferred Tax Assets and Other Non-Current Assets$77.1M$86.7M$98.7M$95.1M$94.7M$97.0M
Equity method investments$10.6M$10.6M$10.6M$10.6M$12.6M$14.2M
Equity Securities Without Readily Determinable Fair Value - Cumulative Downward Adjustments$10.6M$10.6M$10.6M$10.6M$12.6M$14.2M
Finite-Lived Intangible Assets - Expected Amortization Expense (Year One)$7.3M$7.3M$28.2M$27.5M$29.5M
Finite Lived Intangible Assets - Gross$109.9M$109.9M$109.9M$286.5M$275.7M$285.5M
Goodwill$417.7M$417.7M$417.7M$994.5M$1.0B$1.1B
Intangible assets, net$55.7M$51.4M$47.3M$215.3M$193.4M$191.7M
Investments - Amortized Cost Basis$10.6M$10.6M$10.6M$10.6M$12.6M$14.2M
Net Investment in Lease$83.7M$71.4M$89.8M$127.5M$138.3M$138.2M
Deferred costs$284.3M$298.1M$328.7M$322.6M$330.6M$347.8M
Intangible assets &#8212; net$55.7M$51.4M$47.3M$215.3M$193.4M$191.7M
Operating lease right-of-use assets$83.7M$71.4M$89.8M$127.5M$138.3M$138.2M
Other non-current assets$77.1M$86.7M$98.7M$95.1M$94.7M$97.0M
Property, plant and equipment at cost$725.5M$835.0M$915.2M$952.3M$995.7M$1.1B
Operating lease right-of-use assets$83.7M$71.4M$89.8M$127.5M$138.3M$138.2M
Operating Lease Right-of-Use Assets in Other Assets$83.7M$71.4M$89.8M$127.5M$138.3M$138.2M
Other non-current assets$284.3M$298.1M$328.7M$322.6M$330.6M$347.8M
Accumulated depreciation$303.2M$336.1M$371.8M$410.0M$451.1M$495.9M
Property and equipment, net$422.3M$498.9M$543.4M$542.3M$544.6M$574.7M
Software and Technology Licenses, Net$77.1M$86.7M$98.7M$95.1M$94.7M$97.0M
Total assets$5.0B$5.3B$6.4B$6.5B$6.8B$7.1B

Other

MetricQ2 '25Q3 '25Q4 '25Q1 '26Q2 '26Q3 '26
Cumulative Cost Basis$725.5M$835.0M$915.2M$952.3M$995.7M$1.1B
Deferred Revenue Timing Percentage49.0%48.0%47.0%47.0%46.0%
Accrued bonuses$68.1M$41.3M$51.6M$18.7M$61.8M$42.2M
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax$1.5M$415.0K$1.0M$952.0K$642.0K$7.3M
Gross Unrealized Gains$2.1M$3.5M$1.9M$5.1M$6.1M$1.7M
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, Year One$523.1M$482.9M$514.1M$469.5M$518.6M
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, Year One$523.6M$483.4M$515.1M$470.7M$519.5M
Capitalized Contract Cost, Net$440.4M$463.9M$509.5M$505.1M$519.3M$544.5M
Cash Equivalents And Available-For-Sale Securities, At Cost$2.8B$2.9B$2.7B$3.2B$3.4B$3.4B
Cash Equivalents And Short-Term Investments, Estimated Fair Value$2.8B$2.9B$2.7B$3.2B$3.4B$3.4B
Cash Equivalents And Short-Term Investments, Gross Unrealized Losses$1.5M$444.0K$1.0M$952.0K$642.0K$7.3M
Cash Equivalents And Short-Term Investments, Gross Unrealized Gains$2.1M$3.5M$1.9M$5.1M$6.1M$1.7M
Unrealized Gains$35.0K$0.0$0.0$0.0$0.0$0.0
Cash Equivalents, Gross Unrealized Losses$1.0K$29.0K$0.0$0.0$0.0$0.0
Common stock, par value (in dollars per share)$0.0$0.0$0.0$0.0$0.0$0.0
Common stock, shares authorized (in shares)$1.0B$1.0B$1.0B$1.0B$1.0B$1.0B
Common stock, shares issued (in shares)$154.7M$155.7M$158.3M$159.5M$160.6M$161.7M
Common Stock, Shares, Outstanding$154.7M$155.7M$158.3M$159.5M$160.6M$161.7M
Contract with Customer, Liability$1.9B$2.0B$2.5B$2.4B$2.4B$2.5B
Long-term debt, net$1.7B$1.7B$1.7B$1.7B
Debt Securities, Available-for-Sale, Amortized Cost, Excluding Accrued Interest, after Allowance for Credit Loss$1.1B$1.0B$1.2B$2.0B$2.3B$2.6B
Due between one to three years$598.1M$528.7M$1.5B$1.6B$1.8B
Asset-backed securities$185.8M$217.7M
Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss$2.0K$0.0$0.0$7.0K$0.0$0.0
Less than 12 months$380.7M$343.7M$553.3M$546.7M$506.7M$1.7B
12 months or more$1.5M$0.0$0.0$17.2M$0.0$0.0
Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss$1.5M$415.0K$1.0M$945.0K$642.0K$7.3M
Due between one to three years$598.2M$531.3M$1.5B$1.7B$1.8B
Asset-backed securities$186.0M$217.6M
Debt Securities, Available-for-Sale, Unrealized Loss Position, Accumulated Loss$1.5M$415.0K$1.0M$952.0K$642.0K$7.3M
Debt Securities, Available-for-Sale, Unrealized Loss Position$382.2M$343.7M$553.3M$563.9M$506.7M$1.7B
Trading securities, cost$10.6M$10.6M$10.6M$10.6M$12.6M$14.2M
Thereafter$24.0K$25.0K$28.2M$28.2M$29.4M
Finite-Lived Intangible Assets, Accumulated Amortization$54.3M$58.5M$62.6M$71.2M$82.3M$93.8M
2028$13.0M$13.0M$42.1M$39.3M$41.3M
2030$7.3M$7.3M$28.2M$27.5M$29.5M
Remainder of 2026$8.3M$4.1M$34.9M$21.7M$11.1M
2027$15.8M$15.8M$43.9M$41.1M$43.1M
2029$11.2M$11.2M$37.9M$35.4M$37.4M
Gross Carrying Amount$109.9M$109.9M$109.9M$286.5M$275.7M$285.5M
Interest receivable on interest rate and cross currency swaps$13.0M$14.6M$17.9M$24.8M$23.7M$26.6M
Fair value of long-term debt$1.6B$1.7B$1.7B$1.8B$1.6B$1.6B
Preferred Stock, Par or Stated Value Per Share$0.0$0.0$0.0$0.0$0.0$0.0
Preferred Stock, Shares Authorized$200.0M$200.0M$200.0M$200.0M$200.0M$200.0M
Preferred Stock, Shares Issued$0.0$0.0$0.0$0.0$0.0$0.0
Preferred Stock, Shares Outstanding$0.0$0.0$0.0$0.0$0.0$0.0
Property and equipment not placed in service$163.5M$121.4M$101.9M$105.4M
Remaining performance obligations related to customer contracts that are unsatisfied or partially unsatisfied$4.6B$5.0B$5.9B$6.1B$6.5B
Share Based Compensation Arrangement By Share Based Payment Award Options Exercisable Number$66.0K$62.0K$47.0K$38.0K$44.0K$50.0K
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Outstanding, Number$181.0K$171.0K$177.0K$151.0K$151.0K$150.0K
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Outstanding, Weighted Average Exercise Price$155.0$163.8$221.0$232.7$232.7$232.7
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Outstanding, Intrinsic Value$8.7M$10.6M$11.9M$14.8M$118.0K$12.0K
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Exercisable, Weighted Average Exercise Price$94.2$116.9$172.7$200.3$200.5$200.6
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Exercisable, Intrinsic Value$7.1M$6.8M$5.3M$4.9M$73.0K$12.0K
Remainder of Fiscal Year 2024$8.3M$4.1M$34.9M$21.7M$11.1M
Remainder of Fiscal Year 2025$8.3M$4.1M$34.9M$21.7M$11.1M