| CrowdStrike Holdings, Inc. (CRWD) | |||||||||||||||||||||||||||||||||||||||||||||||||
| Q4-CY2025 | Q3-CY2025 | Q2-CY2025 | Q1-CY2025 | Q4-CY2024 | Q3-CY2024 | Q2-CY2024 | Q1-CY2024 | Q4-CY2023 | Q3-CY2023 | Q2-CY2023 | Q1-CY2023 | Q4-CY2022 | Q3-CY2022 | Q2-CY2022 | Q1-CY2022 | Q4-CY2021 | Q3-CY2021 | Q2-CY2021 | Q1-CY2021 | Q4-CY2020 | Q3-CY2020 | Q2-CY2020 | Q1-CY2020 | Q4-CY2019 | Q3-CY2019 | Q2-CY2019 | Q1-CY2019 | Q4-CY2018 | Q3-CY2018 | Q2-CY2018 | Q1-CY2018 | Q4-CY2017 | Q3-CY2017 | Q2-CY2017 | Q1-CY2017 | Q4-CY2016 | Q3-CY2016 | Q2-CY2016 | Q1-CY2016 | Q4-CY2015 | Q3-CY2015 | Q2-CY2015 | Q1-CY2015 | Q4-CY2014 | Q3-CY2014 | Q2-CY2014 | Q1-CY2014 | Q4-CY2013 | |
| Balance Sheet Date | 2025-Jul-31 | 2025-Apr-30 | 2025-Jan-31 | 2024-Oct-31 | 2024-Jul-31 | 2024-Apr-30 | 2024-Jan-31 | 2023-Oct-31 | 2023-Jul-31 | 2023-Apr-30 | 2023-Jan-31 | 2022-Oct-31 | 2022-Jul-31 | 2022-Apr-30 | 2022-Jan-31 | 2021-Oct-31 | 2021-Jul-31 | 2021-Apr-30 | 2021-Jan-31 | 2020-Oct-31 | 2020-Jul-31 | 2020-Apr-30 | 2020-Jan-31 | 2019-Oct-31 | 2019-Jul-31 | 2019-Apr-30 | |||||||||||||||||||||||
| Fiscal Period | Q2-FY2026 | Q1-FY2026 | Q4-FY2025 | Q3-FY2025 | Q2-FY2025 | Q1-FY2025 | Q4-FY2024 | Q3-FY2024 | Q2-FY2024 | Q1-FY2024 | Q4-FY2023 | Q3-FY2023 | Q2-FY2023 | Q1-FY2023 | Q4-FY2022 | Q3-FY2022 | Q2-FY2022 | Q1-FY2022 | Q4-FY2021 | Q3-FY2021 | Q2-FY2021 | Q1-FY2021 | Q4-FY2020 | Q3-FY2020 | Q2-FY2020 | Q1-FY2020 | |||||||||||||||||||||||
| Operating Cash Flow | 332,832,000$ | 384,107,000$ | 345,722,000$ | 326,136,000$ | 326,641,000$ | 383,228,000$ | 347,016,000$ | 273,518,000$ | 244,781,000$ | 300,892,000$ | 273,293,000$ | 242,851,000$ | 209,906,000$ | 214,957,000$ | 159,718,000$ | 159,058,000$ | 108,475,000$ | 147,533,000$ | 114,463,000$ | 88,501,000$ | 55,025,000$ | 98,577,000$ | 66,107,000$ | 38,635,000$ | (6,214,000$) | 1,415,000$ | 15,808,000$ | (3,639,000$) | (28,744,000$) | (6,393,000$) | |||||||||||||||||||
| Investing Cash Flow | (48,779,000$) | (101,830,000$) | (325,019,000$) | (105,581,000$) | (54,890,000$) | (51,098,000$) | 20,395,000$ | (468,836,000$) | 41,760,000$ | 66,031,000$ | (319,140,000$) | (97,419,000$) | (79,149,000$) | (60,950,000$) | (93,660,000$) | (44,735,000$) | (41,175,000$) | (384,946,000$) | (17,301,000$) | (98,375,000$) | (23,608,000$) | 634,711,000$ | (572,115,000$) | (27,262,000$) | (34,392,000$) | 4,138,000$ | (10,671,000$) | (36,486,000$) | (87,117,000$) | (7,756,000$) | |||||||||||||||||||
| Purchases of Property and Equipment | 30,497,000$ | 85,751,000$ | 87,211,000$ | 78,704,000$ | 39,254,000$ | 49,683,000$ | 52,584,000$ | 21,264,000$ | 40,417,000$ | 62,264,000$ | 55,410,000$ | 61,270,000$ | 66,128,000$ | 52,211,000$ | 26,723,000$ | 29,627,000$ | 29,997,000$ | 25,796,000$ | 12,554,000$ | 9,911,000$ | 20,640,000$ | 9,694,000$ | 13,350,000$ | 29,689,000$ | 21,618,000$ | 15,541,000$ | 14,187,000$ | 7,596,000$ | 5,419,000$ | 8,649,000$ | |||||||||||||||||||
| Financing Cash Flow | 74,187,000$ | 2,134,000$ | 46,386,000$ | 844,000$ | 62,496,000$ | (2,518,000$) | 33,460,000$ | 2,053,000$ | 49,737,000$ | 7,908,000$ | 29,134,000$ | 4,976,000$ | 38,759,000$ | 4,568,000$ | 26,178,000$ | 7,554,000$ | 36,190,000$ | 2,609,000$ | 760,529,000$ | 5,171,000$ | 27,542,000$ | 6,893,000$ | 27,310,000$ | (968,000$) | 680,684,000$ | (882,000$) | (325,000$) | 8,094,000$ | 182,171,000$ | 449,000$ | |||||||||||||||||||
| End Cash Position | 4,972,436,000$ | 4,614,153,000$ | 4,323,295,000$ | 4,260,324,000$ | 4,038,536,000$ | 3,702,437,000$ | 3,375,069,000$ | 2,968,872,000$ | 3,167,215,000$ | 2,829,677,000$ | 2,455,369,000$ | 2,466,551,000$ | 2,318,858,000$ | 2,152,736,000$ | 1,996,633,000$ | 1,907,508,000$ | 1,787,051,000$ | 1,684,997,000$ | 1,918,608,000$ | 1,059,926,000$ | 1,064,734,000$ | 1,004,991,000$ | 264,798,000$ | 743,605,000$ | 732,808,000$ | 92,993,000$ | 88,408,000$ | 83,462,000$ | 115,534,000$ | 49,405,000$ | |||||||||||||||||||
| Exchange Rate Effect | 49,000$ | 6,546,000$ | (4,637,000$) | 399,000$ | 877,000$ | (1,917,000$) | 5,369,000$ | (4,494,000$) | 1,273,000$ | (190,000$) | 5,579,000$ | (2,744,000$) | (1,858,000$) | (2,472,000$) | (3,111,000$) | (1,420,000$) | (1,436,000$) | 1,193,000$ | 991,000$ | (105,000$) | 784,000$ | 12,000$ | (109,000$) | 392,000$ | (263,000$) | (86,000$) | 134,000$ | (41,000$) | (181,000$) | (74,000$) | |||||||||||||||||||
| Dividends Paid | |||||||||||||||||||||||||||||||||||||||||||||||||
| Unlevered Free Cash Flow | 302,335,000$ | 298,356,000$ | 258,511,000$ | 247,432,000$ | 287,387,000$ | 333,545,000$ | 294,432,000$ | 252,254,000$ | 204,364,000$ | 238,628,000$ | 217,883,000$ | 181,581,000$ | 143,778,000$ | 162,746,000$ | 132,995,000$ | 129,431,000$ | 78,478,000$ | 121,737,000$ | 101,909,000$ | 78,590,000$ | 34,385,000$ | 88,883,000$ | 52,757,000$ | 8,946,000$ | (27,832,000$) | (14,126,000$) | 1,621,000$ | (11,235,000$) | (34,163,000$) | (15,042,000$) | |||||||||||||||||||