EQUITY RESEARCH
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Financial Model
Income Statement
Balance Sheet
Cash Flow
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FINANCIAL MODEL
Salesforce, Inc.
CRM · all figures in $M unless noted
burgundy
figures open the exact filing page they were verified against ·
green
figures are computed — click for the formula
FY2016
FY2017
FY2018
FY2019
FY2020
FY2021
FY2022
FY2023
FY2024
FY2025
FY2026
Income Statement
Revenue
6,667
8,392
10,480
13,282
17,098
21,252
26,492
31,352
34,857
37,895
41,525
Cost of Goods Sold
1,655
2,234
2,774
3,451
4,235
5,438
7,026
8,360
8,541
8,643
9,270
Gross Profit
5,013
6,158
7,706
9,831
12,863
15,814
19,466
22,992
26,316
29,252
32,255
SG&A
3,988
4,886
5,918
7,410
9,634
11,761
14,453
16,079
15,411
16,093
17,345
R&D
946
1,208
1,553
1,886
2,766
3,598
4,465
5,055
4,906
5,493
5,993
EBITDA
641
696
988
1,497
2,432
3,301
3,846
4,816
8,970
10,682
11,962
D&A
526
632
753
962
2,135
2,846
3,298
3,786
3,959
3,477
3,631
EBIT (Operating Income)
115
64
236
535
297
455
548
1,030
5,011
7,205
8,331
Interest Expense
72
89
87
154
131
110
Pre-Tax Income
64
25
202
983
706
2,561
1,532
660
4,950
7,438
9,520
Tax Expense
112
-154
75
-127
580
-1,511
88
452
814
1,241
2,063
Net Income
-47
180
127
1,110
126
4,072
1,444
208
4,136
6,197
7,457
Diluted EPS
-0.07
0.26
0.17
1.43
0.15
4.38
1.48
0.21
4.20
6.36
7.80
Diluted Shares (M)
661.6
700.2
734.6
775.0
850.0
930.0
974.0
997.0
984.0
974.0
956.0
Balance Sheet
Total Cash & Equivalents
1,158
1,607
2,543
4,342
7,947
11,966
10,537
12,508
14,194
14,032
9,565
Short-term Debt
0
1,025
3
4
4
4
1,182
999
0
4,000
Long-term Debt
2,008
695
3,173
2,673
2,673
10,592
9,419
8,427
8,433
10,439
Total Debt
2,008
1,719
3,176
2,677
2,677
10,596
10,601
9,426
8,433
14,439
Net Debt
402
-824
-1,166
-5,270
-9,289
59
-1,907
-4,768
-5,599
4,874
Total Current Assets
5,997
9,290
10,683
15,963
21,889
22,850
26,395
29,074
29,727
28,222
Total Current Liabilities
7,295
10,130
11,255
14,845
17,728
21,788
25,891
26,631
27,980
37,118
Total Assets
17,585
21,010
30,737
55,126
66,301
95,209
98,849
99,823
102,928
112,305
Total Liabilities
10,085
11,617
15,132
21,241
24,808
37,078
40,490
40,177
41,755
53,163
Shareholders' Equity
5,003
7,500
9,388
15,605
33,885
41,493
58,131
58,359
59,646
61,173
59,142
Minority Interest
Intangibles & Goodwill
7,264
7,314
12,851
25,134
26,318
47,937
48,568
48,620
51,283
57,941
PP&E
1,788
1,947
2,051
2,375
2,459
2,815
3,702
3,689
3,236
3,120
Receivables
3,197
3,917
4,924
6,174
7,786
9,739
10,755
11,414
11,945
14,339
Payables
1,753
2,010
165
3,433
4,355
5,474
6,743
6,111
6,658
8,253
Inventory
Retained Earnings
-653
-465
-337
1,735
1,861
5,933
7,377
7,585
11,721
16,369
22,221
Cash Flow
Cash from Operations
1,672
2,162
2,738
3,398
4,331
4,801
6,000
7,111
10,234
13,092
14,996
Capital Expenditures
284
464
534
595
643
710
717
798
736
658
594
Free Cash Flow
1,388
1,698
2,204
2,803
3,688
4,091
5,283
6,313
9,498
12,434
14,402
Stock-Based Compensation
594
820
997
1,283
1,785
2,190
2,779
3,279
2,787
3,183
3,509
Dividends Paid
0
0
0
0
0
0
0
1,537
1,587
Share Repurchases
0
0
0
0
0
4,000
7,620
7,829
12,596