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Common Stock Value 0.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.000.000.000.000.000.000.000.000.000.000.00NANANA
dei: Entity Common Stock Shares Outstanding NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Weighted Average Number Of Diluted Shares Outstanding 0.29NA245.77298.54241.49NA234.74231.92228.54NA222.47218.81215.50NANANANANANANANANANANANANANANANANANANANANANANANA
Weighted Average Number Of Shares Outstanding Basic 0.27NA245.77243.85241.49NA234.74231.92228.54NA222.47218.81215.50NANANANANANANANANANANANANANANANANANANANANANANANA
Earnings Per Share Basic 0.11-0.52-0.060.13-0.07-0.05-0.30-0.31-0.43-0.66-0.50-0.53-1.95NANANANANANANANANANANANANANANANANANANANANANANANA
Earnings Per Share Diluted 0.10-0.56-0.060.12-0.07-0.05-0.30-0.31-0.43-0.66-0.50-0.53-1.95NANANANANANANANANANANANANANANANANANANANANANANANA

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Revenue From Contract With Customer Excluding Assessed Tax 590.96547.95524.58565.23511.05494.21448.58486.50433.61385.54403.66413.08378.52390.72344.51346.38312.75327.87318.27346.77314.77299.88287.62335.36313.28303.75289.41286.74275.55252.46205.67199.21188.56139.78114.69102.7087.76
Revenues 590.96547.95524.58565.23511.05494.21448.58486.50433.61385.54403.66413.08378.52390.72344.51346.38312.75327.87318.27346.77314.77299.88287.62335.36313.28303.75289.41286.74275.55252.46205.67199.21188.56139.78114.69102.7087.76
Cost Of Goods And Services Sold 82.6780.9879.6281.5681.9680.4682.4386.8182.5079.8979.8579.9781.4578.5274.4770.9567.9666.9772.2975.2272.2068.9675.0885.9874.1173.2795.61108.53108.6297.5283.2176.8569.7654.3843.3937.9435.08
Gross Profit 508.29466.97444.96483.68429.10413.75366.15399.69351.11305.65323.81333.11297.07312.20270.03275.43244.79260.90245.98271.54242.57230.91212.55249.38239.18230.48193.80178.22166.93128.59108.56105.3597.0585.4171.3064.7652.68
Operating Expenses 481.04479.16456.55446.63434.80425.10424.79456.20431.37439.07416.16427.53434.33454.09450.61431.68426.87432.25476.15478.60462.90413.43416.73365.53334.37309.71276.08238.07225.97217.20218.22197.64233.43133.34116.0099.9989.83
Research And Development Expense 173.96167.40159.22160.40151.97146.20143.02142.30149.19144.01142.07141.61144.27140.66144.92135.57135.80135.34141.35139.09138.21129.17137.98123.04110.5397.0581.2970.9264.5167.8274.6170.9175.2835.1331.3926.0223.86
General And Administrative Expense 53.6852.4151.4249.5347.5049.4752.5284.1146.1042.5539.5544.2940.0342.6442.3335.0333.7732.4635.6434.5832.8630.4233.0428.7927.3429.4724.9315.9516.0516.8815.6115.4829.3710.298.767.847.38
Selling And Marketing Expense 253.40259.36245.90236.70235.32229.43229.26229.79236.07252.51234.53241.63250.03270.79263.36261.07257.29264.45299.16304.94291.84253.84245.70213.71196.50183.19169.86151.20145.41132.50128.01111.24128.7887.9275.8566.1358.60
Operating Income Loss 27.25-12.19-11.5937.05-5.71-11.35-58.64-56.51-80.26-133.42-92.35-94.42-137.26-141.89-180.57-156.25-182.07-171.35-230.17-207.06-220.34-182.52-204.18-116.15-95.19-79.23-82.28-59.86-59.04-88.61-109.67-92.29-136.38-47.93-44.70-35.23-37.15
Allocated Share Based Compensation Expense 88.7581.5782.2985.9784.0072.5972.9185.2980.9580.1584.5188.0590.5589.6195.2984.4589.2092.8692.1085.6181.4373.4194.8372.5665.9255.4044.9542.0135.5237.8050.3552.6190.734.685.044.955.39
Income Tax Expense Benefit 6.907.554.696.354.876.205.164.175.446.303.615.314.054.684.425.144.244.244.864.643.927.112.422.21-3.634.12-0.841.912.261.492.610.500.101.040.010.620.52
Income Taxes Paid Net 9.302.716.776.038.139.205.398.567.633.255.025.906.183.424.223.955.051.973.463.427.782.272.7120.113.912.083.962.012.071.651.221.650.700.360.600.660.83
Net Income Loss 29.93-126.10-15.6232.80-15.85-13.29-70.97-70.79-99.12-150.99-111.64-115.06-419.85-358.18-123.64-287.39-265.05-185.35-240.67-217.56-229.30-194.34-209.81-122.76-94.27-87.37-85.67-62.63-61.49-90.65-111.98-93.21-162.17-49.93-46.82-33.20-38.55
Comprehensive Income Net Of Tax 30.34-122.25-20.2038.05-15.06-14.18-69.45-66.87-102.76-150.92-115.35-116.84-420.50-358.28-124.11-287.71-266.20-184.94-240.18-217.66-228.74-194.00-209.34-121.74-94.43-87.13-86.19-63.12-61.62-90.66-111.90-93.36-162.18-49.92-46.83-33.23-38.52
Net Income Loss Available To Common Stockholders Diluted 30.21NA-15.6237.07-15.85NA-70.97-70.79-0.00NANANA-0.00NANANANANANANANANANANANANANANANANANANANANANANANA

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Assets 2181.352143.922774.922729.532570.642526.912396.002371.492357.422365.752355.892315.592254.572277.502265.552311.452315.871768.551773.341863.321866.391786.041801.821821.141773.091599.881475.401345.20764.91726.07718.31670.72648.26399.09NANANA
Liabilities 2866.652872.073394.383341.223212.853234.333185.063154.183148.473155.923077.763041.212953.303289.543012.323069.842873.232043.521957.381929.421802.861599.151496.371435.611341.771273.101120.821044.72548.33677.87623.07538.83476.60465.02NANANA
Liabilities And Stockholders Equity 2181.352143.922774.922729.532570.642526.912396.002371.492357.422365.752355.892315.592254.572277.502265.552311.452315.871768.551773.341863.321866.391786.041801.821821.141773.091599.881475.401345.20764.91726.07718.31670.72648.26399.09NANANA
Stockholders Equity -685.30-728.15-619.46-611.68-642.21-707.42-789.07-782.68-791.05-790.17-721.87-725.62-698.74-1012.04-746.77-758.39-557.36-274.98-184.04-66.1063.53186.89305.45385.53431.32326.78354.58300.48216.5848.2095.24131.88171.66-376.31NANANA

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Assets Current 1523.461481.292139.242080.441917.951861.731728.911691.751672.101657.981676.381621.721552.391562.261566.581615.731634.121094.021095.191191.631217.911275.211299.251299.911277.021263.101184.681162.55592.90583.97587.25543.80530.52329.86NANANA
Cash And Cash Equivalents At Carrying Value 716.60655.27598.03679.25612.46512.93439.92406.60480.62402.85386.72400.75350.99285.72274.68298.70504.48318.74262.33211.69233.82396.68445.12466.01399.79305.98376.79610.45132.46138.36200.77226.01225.4699.2190.7155.6154.86
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 716.99655.66600.16681.36614.66515.77442.72409.66483.47405.86389.78403.81354.20288.87277.94301.91507.52321.99265.37214.79236.96399.52446.24467.19400.89307.10377.92611.59133.59139.50NANANA99.39NANANA
Accounts Receivable Net Current 198.58229.80225.30189.05133.72157.25135.07155.2683.64124.56180.39159.94116.94180.78143.12164.87183.27242.52236.69247.32214.88245.47244.44247.60237.68258.29194.32179.24171.55178.88170.34151.22147.71110.66NANANA
Other Assets Current 29.1226.4835.8632.4424.6056.1355.3757.3533.0937.4328.4514.0912.6912.0713.3815.4415.5414.4013.1212.1713.9012.04NANANA9.74NANANANANANANANANANANA
Prepaid Expense And Other Assets Current 98.4597.31114.12108.8386.92147.09121.61115.7690.5393.7986.3360.4048.8856.8265.9269.9956.7263.0363.1965.7161.6574.6773.7449.4639.6236.8236.6231.5528.9428.3644.3118.1916.3016.14NANANA

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Property Plant And Equipment Gross 595.63590.92568.87553.88537.56532.16524.95507.37493.75481.40476.52463.98452.58448.77434.66415.31398.33394.40383.02359.80339.47320.13302.55278.54243.75212.90194.00177.65166.22146.97133.57123.39109.5197.61NANANA
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment 463.17454.74454.08438.65427.36420.30409.49394.78382.39367.96359.02346.37331.98317.15301.26283.34265.18251.22233.33216.37199.00183.17167.99152.62139.00127.79117.67108.5798.6588.9080.0271.4563.1955.39NANANA
Property Plant And Equipment Net 132.46136.18114.78115.22110.20111.86115.47112.58111.36113.44117.49117.61120.60131.62133.39131.97133.16143.17149.69143.43140.47136.96134.56125.92104.7585.1176.3269.0767.5858.0753.5551.9446.3342.22NANANA
Goodwill 185.24185.24185.24185.24184.94184.94185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.26185.18185.18184.82184.9987.7688.3216.6716.6716.6716.6416.7816.780.00NANANA
Intangible Assets Net Excluding Goodwill 4.305.156.026.883.754.897.339.9412.6715.8319.8523.8727.8932.0136.3640.7045.0549.3953.7458.0862.4366.7771.1275.4779.8345.3747.7923.5424.8926.0026.6127.2227.820.00NANANA
Other Assets Noncurrent 28.9527.9628.3929.8930.8131.9424.2926.1322.0122.2728.7328.4728.5927.9524.9225.5524.0422.5419.3419.7017.2614.4412.8241.9139.1337.855.837.247.357.656.225.264.687.98NANANA

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Liabilities Current 1220.601244.341183.551162.821099.571136.111132.851112.271147.801150.221135.911127.03904.79927.89861.09849.58779.58760.20713.38724.65655.23599.32539.08509.35470.93458.23388.04374.55318.95374.16356.74294.54258.08212.76NANANA
Accounts Payable Current 44.7045.0740.2939.5435.8029.9334.2344.0730.8444.9353.4446.9043.1847.0656.6452.4648.2754.0368.2376.5483.3874.0582.6069.0569.4765.5071.4156.2768.6373.7283.8765.2357.3152.11NANANA
Other Accrued Liabilities Current 16.7521.0418.9519.3617.8022.8620.0019.6130.6330.5332.1424.9016.3322.5514.3313.0512.7013.21NANANA16.1514.537.485.864.984.132.811.871.671.391.411.040.54NANANA
Accrued Income Taxes Current 0.001.93NANANA2.195.375.6110.0613.219.699.3410.4113.318.839.008.339.70NANANA9.652.903.6219.5720.862.904.163.933.583.451.812.461.42NANANA
Accrued Liabilities Current 18.9724.9722.4922.4021.05109.27108.97108.2646.1549.2348.0437.5933.5139.4028.0726.1324.5625.9221.8323.8717.4328.8020.0216.4228.5531.6811.6411.249.439.419.026.406.595.54NANANA
Contract With Customer Liability Current 968.64954.54923.56893.89877.55823.66806.00787.50768.92720.99721.85703.80662.50636.42605.03578.66549.94534.57503.31472.68429.43396.67361.43337.42307.19275.65NANANA170.12NANANANANANANA

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Other Liabilities Noncurrent 49.4449.1335.9539.6333.9939.7534.5435.7429.9335.1631.2938.6438.3542.6835.6135.8433.3327.4419.5817.1316.8327.5529.0639.8139.4929.7114.097.8210.5510.299.168.437.041.10NANANA
Operating Lease Liability Noncurrent 100.4190.3679.0373.7272.4268.9473.0480.5881.8289.7854.3766.0277.6786.6096.34107.78113.49116.79123.47129.42118.410.00NANANANANANANANANANANANANANANA

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Stockholders Equity -685.30-728.15-619.46-611.68-642.21-707.42-789.07-782.68-791.05-790.17-721.87-725.62-698.74-1012.04-746.77-758.39-557.36-274.98-184.04-66.1063.53186.89305.45385.53431.32326.78354.58300.48216.5848.2095.24131.88171.66-376.31NANANA
Common Stock Value 0.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.000.000.000.000.000.000.000.000.000.000.00NANANA
Additional Paid In Capital Common Stock 4145.944118.904086.674039.784020.673930.673834.843771.783685.803583.933501.313382.213292.262615.322522.302386.58NA2245.18NANANANANANANANANANANANANANANANANANANA
Retained Earnings Accumulated Deficit -4831.80-4847.20-4702.43-4652.35-4658.51-4632.92-4619.64-4548.67-4467.14-4368.03-4217.04-4105.40-3990.34-3627.36-3269.17-3145.53-2858.14-2522.19-2336.84-2096.17-1878.61-1649.31-1454.97-1245.16-1122.39-1028.13-940.76-855.09-792.46-899.83-809.18-697.20-603.99-441.93NANANA
Accumulated Other Comprehensive Income Loss Net Of Tax 0.560.15-3.700.88-4.38-5.17-4.28-5.80-9.72-6.08-6.15-2.440.660.010.090.560.882.031.621.141.230.670.33-0.15-1.17-1.00-1.24-0.72-0.24-0.11-0.10-0.17-0.02-0.01NANANA
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value 88.75NA82.2985.9784.00NA72.9185.2980.95NA84.5188.0590.55NA95.2984.4589.20NA92.1085.6181.43NA94.8372.5665.92NA44.9542.0135.52NANANANANANANANA

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Net Cash Provided By Used In Operating Activities 161.75244.7096.35186.41145.4758.3174.5074.0865.5138.00-3.1725.776.94-24.63-55.55-15.56-4.073.63-84.86-52.49-26.16-9.66-36.4938.4949.8222.7513.3146.4010.115.92-16.0119.754.162.372.414.47-5.62
Net Cash Provided By Used In Investing Activities -28.19703.42-106.51-25.10-42.22-8.91-30.23-2.41-8.24-22.64-44.7022.03-8.8732.60-8.86-192.22-428.6751.71105.4127.81-160.37-39.00-17.3424.3415.15-96.77-276.62-89.02-41.15-73.88-33.71-20.55-47.966.04-41.26-2.80-8.48
Net Cash Provided By Used In Financing Activities -72.22-892.61-71.04-94.61-4.3723.65-11.21-145.4820.330.7233.851.8167.262.9640.442.16618.281.2830.032.5123.971.9332.873.4728.823.2129.66520.6125.155.5424.491.34170.050.0973.96-0.931.08

    2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31
Net Cash Provided By Used In Operating Activities 161.75244.7096.35186.41145.4758.3174.5074.0865.5138.00-3.1725.776.94-24.63-55.55-15.56-4.073.63-84.86-52.49-26.16-9.66-36.4938.4949.8222.7513.3146.4010.115.92-16.0119.754.162.372.414.47-5.62
Net Income Loss 29.93-126.10-15.6232.80-15.85-13.29-70.97-70.79-99.12-150.99-111.64-115.06-419.85-358.18-123.64-287.39-265.05-185.35-240.67-217.56-229.30-194.34-209.81-122.76-94.27-87.37-85.67-62.63-61.49-90.65-111.98-93.21-162.17-49.93-46.82-33.20-38.55
Depreciation Depletion And Amortization 18.1818.2118.6018.2018.1917.3119.6019.6419.8420.8321.5422.2923.2923.7623.5223.5923.5024.0624.1823.0822.4621.8720.7318.8216.1814.2913.0011.6811.3310.469.769.608.577.437.156.265.56
Increase Decrease In Accounts Receivable -52.454.1430.0143.32-23.6621.12-23.8869.49-40.84-56.8019.6340.91-64.7437.55-22.86-19.08-60.094.69-10.8832.44-30.591.03-3.159.92-23.5063.9714.827.82-7.338.5419.113.5236.2147.1110.924.568.82
Increase Decrease In Accounts Payable -4.454.421.634.743.95-4.49-1.943.93-7.10-5.626.550.75-3.14-6.303.141.47-4.08-10.90-2.25-8.645.21-4.9510.916.261.29-10.0610.15-10.06-6.50-11.1921.136.295.0523.544.48-2.17-5.86
Share Based Compensation 88.7581.5782.2985.9784.0072.5972.9185.2980.9580.1584.5188.0590.5589.6195.2984.4589.2092.8692.1085.6181.4373.4194.8372.5665.9255.4044.9542.0135.5237.8050.3552.6190.734.685.044.955.39

    2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31
Net Cash Provided By Used In Investing Activities -28.19703.42-106.51-25.10-42.22-8.91-30.23-2.41-8.24-22.64-44.7022.03-8.8732.60-8.86-192.22-428.6751.71105.4127.81-160.37-39.00-17.3424.3415.15-96.77-276.62-89.02-41.15-73.88-33.71-20.55-47.966.04-41.26-2.80-8.48
Payments To Acquire Property Plant And Equipment 9.8320.4418.0323.7613.0212.8021.8311.0719.7014.7816.898.558.8417.5415.9412.9212.2517.4132.6221.2518.2023.6422.4342.5529.8316.2814.1014.0317.9612.3813.1812.7011.918.8813.4010.389.64

    2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31
Net Cash Provided By Used In Financing Activities -72.22-892.61-71.04-94.61-4.3723.65-11.21-145.4820.330.7233.851.8167.262.9640.442.16618.281.2830.032.5123.971.9332.873.4728.823.2129.66520.6125.155.5424.491.34170.050.0973.96-0.931.08
Payments For Repurchase Of Common Stock 20.1025.0146.9441.6817.51NANANANA0.000.000.0058.570.000.000.00125.08NANANANANANANANANANANANANANANANANANANANA

    2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31
Revenues 590.96547.95524.58565.23511.05494.21448.58486.50433.61385.54403.66413.08378.52390.72344.51346.38312.75327.87318.27346.77314.77299.88287.62335.36313.28303.75289.41286.74275.55252.46205.67199.21188.56139.78114.69102.7087.76
Hardware 1.100.900.601.200.600.350.621.230.620.341.331.752.163.230.971.320.731.403.798.549.7213.0021.8537.9232.5535.8662.6278.0080.8472.8959.2755.3748.79NANANANA
Other Non Subscription Product 2.982.4911.728.248.7410.738.9612.118.41NANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Professional Services 27.2926.7726.2425.0122.8424.0222.1023.4422.2823.1222.4622.0424.1222.3619.4617.4513.8212.1511.6112.559.589.028.618.467.196.955.815.355.44NANANANANANANANA
Software 1.901.6011.107.008.1010.388.3510.887.7811.459.3714.5414.3412.9516.7421.6620.0429.5441.9259.1377.5782.2288.72131.62146.57233.69140.88129.21126.90NANANANANANANANA
Subscriptionand Circulation Software Entitlementand Support Subscription 274.40239.20254.80252.60253.50242.00226.10224.20213.40204.90191.10191.30183.10172.80159.50159.20147.80140.90129.20123.80114.90106.7096.1091.8083.0072.1062.5058.2051.10NANANANANANANANA
Subscriptionand Circulation Software Termbased Licenses 286.30250.50231.80279.40226.00217.40191.40226.70189.50145.80179.40183.40154.80179.40147.80146.70130.40143.80131.80142.70103.0088.9072.3065.6044.0041.8017.6016.0011.30NANANANANANANANA
Product 301.92265.90255.47299.66246.92240.50212.51250.54208.57168.75199.62209.15180.10202.95172.31174.80155.75179.07180.76213.55192.44186.35184.79236.93224.35224.65221.12223.17219.05201.47160.08158.21153.54NANANANA
Service 289.04282.05269.11265.57264.13253.72236.07235.96225.03216.79204.04203.93198.41187.77172.20171.58157.00148.80137.52133.22122.32113.53102.8398.4388.9479.1068.3063.5756.5050.9945.5941.0035.02NANANANA
Subscription And Circulation 560.70518.70486.62531.98479.48459.46417.52450.95402.92350.63370.50374.74337.90352.18307.33305.95278.17284.78260.96266.54217.90195.64168.45157.36126.98113.9880.1174.1962.38NANANANANANANANA
95.8290.1982.5093.1583.1183.0977.7479.2069.1065.8667.9974.8465.6870.1764.6963.1962.6068.2465.7370.8060.3266.6066.1171.7767.2467.4768.6259.2944.86NANANANANANANANA
US 332.73306.42283.84308.67290.27274.32233.84275.41255.73216.36227.19226.44217.15214.36184.39182.26177.11172.19166.78182.37184.77162.42158.26180.65181.01160.39135.28165.78187.37170.82112.22102.17102.87125.6575.2061.7256.73
Other Americas 11.2211.6211.1711.4913.0811.4912.7610.328.527.2711.9214.2211.6913.5013.3214.8013.1414.2513.8617.9112.979.7710.4013.3010.2615.5810.609.955.885.986.019.3710.787.993.986.313.51
EMEA 151.19139.72147.06151.92124.58125.30124.25121.56100.2596.0696.5597.5884.0092.6982.1186.1459.9173.1971.9175.6856.7161.1052.8569.6354.7860.3074.9251.7337.4443.2738.0233.2724.259.0219.2320.9816.36
Revenue From Contract With Customer Excluding Assessed Tax 590.96547.95524.58565.23511.05494.21448.58486.50433.61385.54403.66413.08378.52390.72344.51346.38312.75327.87318.27346.77314.77299.88287.62335.36313.28303.75289.41286.74275.55252.46205.67199.21188.56139.78114.69102.7087.76
Hardware 1.100.900.601.200.600.350.621.230.620.341.331.752.163.230.971.320.731.403.798.549.7213.0021.8537.9232.5535.8662.6278.0080.8472.8959.2755.3748.79NANANANA
Other Non Subscription Product 2.982.4911.728.248.7410.738.9612.118.41NANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Professional Services 27.2926.7726.2425.0122.8424.0222.1023.4422.2823.1222.4622.0424.1222.3619.4617.4513.8212.1511.6112.559.589.028.618.467.196.955.815.355.44NANANANANANANANA
Software 1.901.6011.107.008.1010.388.3510.887.7811.459.3714.5414.3412.9516.7421.6620.0429.5441.9259.1377.5782.2288.72131.62146.57233.69140.88129.21126.90NANANANANANANANA
Subscriptionand Circulation Software Entitlementand Support Subscription 274.40239.20254.80252.60253.50242.00226.10224.20213.40204.90191.10191.30183.10172.80159.50159.20147.80140.90129.20123.80114.90106.7096.1091.8083.0072.1062.5058.2051.10NANANANANANANANA
Subscriptionand Circulation Software Termbased Licenses 286.30250.50231.80279.40226.00217.40191.40226.70189.50145.80179.40183.40154.80179.40147.80146.70130.40143.80131.80142.70103.0088.9072.3065.6044.0041.8017.6016.0011.30NANANANANANANANA
Product 301.92265.90255.47299.66246.92240.50212.51250.54208.57168.75199.62209.15180.10202.95172.31174.80155.75179.07180.76213.55192.44186.35184.79236.93224.35224.65221.12223.17219.05201.47160.08158.21153.54NANANANA
Service 289.04282.05269.11265.57264.13253.72236.07235.96225.03216.79204.04203.93198.41187.77172.20171.58157.00148.80137.52133.22122.32113.53102.8398.4388.9479.1068.3063.5756.5050.9945.5941.0035.02NANANANA
Subscription And Circulation 560.70518.70486.62531.98479.48459.46417.52450.95402.92350.63370.50374.74337.90352.18307.33305.95278.17284.78260.96266.54217.90195.64168.45157.36126.98113.9880.1174.1962.38NANANANANANANANA
95.8290.1982.5093.1583.1183.0977.7479.2069.1065.8667.9974.8465.6870.1764.6963.1962.6068.2465.7370.8060.3266.6066.1171.7767.2467.4768.6259.2944.86NANANANANANANANA
US 332.73306.42283.84308.67290.27274.32233.84275.41255.73216.36227.19226.44217.15214.36184.39182.26177.11172.19166.78182.37184.77162.42158.26180.65181.01160.39135.28165.78187.37170.82112.22102.17102.87125.6575.2061.7256.73
Other Americas 11.2211.6211.1711.4913.0811.4912.7610.328.527.2711.9214.2211.6913.5013.3214.8013.1414.2513.8617.9112.979.7710.4013.3010.2615.5810.609.955.885.986.019.3710.787.993.986.313.51
EMEA 151.19139.72147.06151.92124.58125.30124.25121.56100.2596.0696.5597.5884.0092.6982.1186.1459.9173.1971.9175.6856.7161.1052.8569.6354.7860.3074.9251.7337.4443.2738.0233.2724.259.0219.2320.9816.36

Plots across concepts


IncomeStatement
Operating Income Loss
Expenses
Income Tax Expense Benefit
Balance Sheet
Stockholders Equity
Assets
Intangible Assets Net Excluding Goodwill
Current Assets
Other Assets Current
NonCurrent Assets
Intangible Assets Net Excluding Goodwill
PropertyPlantAndEquipmentNet
Property Plant And Equipment Net
Liabilities
Operating Lease Liability
Current Liabilities
Accrued Income Taxes Current
Stockholders Equity
Retained Earnings Accumulated Deficit
CashFlow
Net Cash Provided By Used In Financing Activities
NetCashProvidedByUsedInOperatingActivities
Increase Decrease In Accounts Receivable
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInFinancingActivities
Net Cash Provided By Used In Financing Activities
Shares
Weighted Average Number Of Shares Outstanding Basic
OperatingLeaseLiability
Operating Lease Liability Current
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Due Year Four
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization

Line plots across dimensions of each concept