CrowdStrike Holdings, Inc.
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CrowdStrike Holdings, Inc. (CRWD)

Solvency & Capital Structure

Total Debt

$821.3M

Net Debt

-$3.73B

CrowdStrike Holdings, Inc. currently has $821.3M in total debt. Net debt is -$3.73B after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

CRWDQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-04-300.824.55-3.73Net Cash11.277.3%
2026-01-310.825.23-4.41Net Cash11.097.4%
2025-10-310.824.80-3.98Net Cash9.978.2%
2025-07-310.814.97-4.16Net Cash9.298.7%
2025-04-300.794.61-3.83Net Cash8.729.0%
2025-01-310.794.32-3.53Net Cash8.709.1%
2024-10-310.794.26-3.47Net Cash7.7810.2%
2024-07-310.794.04-3.25Net Cash7.2011.0%
2024-04-300.793.70-2.91Net Cash6.8411.6%
2024-01-310.793.47-2.68Net Cash6.6511.9%
2023-10-310.793.17-2.37Net Cash5.8313.6%
2023-07-310.793.17-2.38Net Cash5.5214.3%
2023-04-300.792.93-2.14Net Cash5.1415.5%
2023-01-310.782.71-1.92Net Cash5.0315.6%
2022-10-310.772.47-1.70Net Cash4.4717.2%
2022-07-310.772.32-1.55Net Cash4.1518.6%
2022-04-300.772.15-1.38Net Cash3.8420.1%
2022-01-310.772.00-1.22Net Cash3.6221.4%
2021-10-310.781.91-1.13Net Cash3.3023.5%
2021-07-310.781.79-1.01Net Cash3.1424.8%
2021-04-300.781.68-0.91Net Cash2.8827.0%
2021-01-310.781.92-1.14Net Cash2.7328.5%
2020-10-310.041.06-1.02Net Cash1.752.4%
2020-07-310.041.06-1.02Net Cash1.622.8%
2020-04-300.041.00-0.97Net Cash1.522.6%
2020-01-310.000.91-0.91Net Cash1.400.0%
2019-10-310.000.83-0.83Net Cash1.260.0%
2019-07-310.000.83-0.83Net Cash1.170.0%
2019-04-300.000.18-0.18Net Cash0.460.0%
2019-01-310.000.19-0.19Net Cash0.430.0%
2018-10-310.000.19-0.19Net Cash0.390.0%
2018-01-310.020.07-0.05Net Cash0.227.3%