Sprinklr, Inc.
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Sprinklr, Inc. (CXM)

Solvency & Capital Structure

Total Debt

$43.8M

Net Debt

-$399M

Sprinklr, Inc. currently has $43.8M in total debt. Net debt is -$399M after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

CXMQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-04-300.040.44-0.40Net Cash1.064.1%
2026-01-310.050.50-0.46Net Cash1.213.9%
2025-10-310.090.48-0.39Net Cash1.058.4%
2025-07-310.050.47-0.43Net Cash1.094.4%
2025-04-300.050.57-0.52Net Cash1.194.3%
2025-01-310.050.48-0.43Net Cash1.184.1%
2024-10-310.050.48-0.43Net Cash0.975.3%
2024-07-310.050.47-0.42Net Cash0.985.2%
2024-04-300.050.61-0.56Net Cash1.124.6%
2024-01-310.030.66-0.63Net Cash1.222.7%
2023-10-310.030.66-0.63Net Cash1.092.7%
2023-07-310.030.63-0.60Net Cash1.073.0%
2023-04-300.020.60-0.59Net Cash1.021.7%
2023-01-310.020.58-0.56Net Cash1.021.6%
2022-10-310.010.54-0.53Net Cash0.901.6%
2022-07-310.010.54-0.53Net Cash0.911.5%
2022-04-300.020.53-0.51Net Cash0.901.8%
2022-01-310.000.53-0.53Net Cash0.920.0%
2021-10-310.000.54-0.54Net Cash0.840.0%
2021-07-310.000.55-0.55Net Cash0.850.0%
2021-04-300.080.28-0.19Net Cash0.5714.1%
2021-01-310.080.28-0.20Net Cash0.5913.5%