The Tip Desk

C3.ai, Inc.

Financial highlights

MetricFY 04/30/26FY 04/30/25FY 04/30/24FY 04/30/23FY 04/30/22
Income Statement
Revenue$250.3M$389.1M$310.6M$266.8M$252.8M
Cost of revenue$172.9M$153.2M$132.0M$86.3M$63.7M
Gross profit$77.4M$235.9M$178.6M$180.5M$189.0M
Research and development$229.1M$226.4M$201.4M$210.7M$150.5M
Operating expenses$575.9M$560.3M$496.9M$471.0M$385.2M
Operating income-$498.5M-$324.4M-$318.3M-$290.5M-$196.1M
Pretax income-$469.5M-$287.7M-$278.9M-$268.2M-$191.3M
Income tax expense$822,000$976,000$792,000$675,000$789,000
Net income-$470.4M-$288.7M-$279.7M-$268.8M-$192.1M
Balance Sheet
Cash and equivalents$66.2M$164.4M$167.1M$284.8M$339.5M
Current assets$708.0M$904.3M$904.4M$888.9M$1.1B
Total assets$816.3M$1.0B$1.0B$1.1B$1.2B
Current liabilities$106.6M$131.9M$102.3M$136.0M$150.2M
Total liabilities$162.5M$187.6M$164.9M$173.4M$181.4M
Stockholders' equity$653.8M$838.3M$873.4M$929.7M$989.5M
Cash Flow Statement
Cash from operations-$190.2M-$41.4M-$62.4M-$115.7M-$86.5M
Depreciation and amortization$13.6M$12.6M$12.7M$6.1M$5.2M
Stock-based compensation$263.7M$231.0M$215.8M$216.5M$113.4M
Capital expenditure$1.9M$3.0M$25.3M$70.5M$3.8M
Free cash flow-$192.1M-$44.4M-$87.6M-$186.2M-$90.3M
Share repurchases$0$0$15.0M
Impairments$0$0$0$0$0

Shares outstanding 145.3M · Free float 72.5%

Annual filing data through FY ended April 30, 2026; float as of July 4, 2026.

Coverage