The Inventing Press

8X8 INC /DE/

Financial highlights

MetricFY 03/31/26FY 03/31/25FY 03/31/24FY 03/31/23FY 03/31/22
Income Statement
Revenue$735.8M$715.1M$728.7M$743.9M$638.1M
Cost of revenue$260.7M$229.8M$224.9M$241.5M$247.6M
Gross profit$475.0M$485.3M$503.8M$502.5M$390.6M
Research and development$113.0M$123.2M$136.2M$142.5M$112.4M
Operating expenses$456.1M$470.1M$531.4M$568.8M$544.7M
Operating income$18.9M$15.2M-$27.6M-$66.3M-$154.1M
Interest expense$17.8M$28.9M$39.8M$27.3M
Pretax income$3.5M-$24.1M-$64.0M-$70.3M-$175.8M
Income tax expense$1.9M$3.1M$3.6M$2.8M-$387,000
Net income$1.6M-$27.2M-$67.6M-$73.1M-$175.4M
Balance Sheet
Cash and equivalents$93.3M$88.0M$116.3M$111.4M$91.2M
Current assets$209.8M$203.9M$247.8M$273.1M$275.6M
Total assets$662.8M$683.2M$756.0M$841.8M$910.3M
Current liabilities$192.9M$169.2M$172.6M$229.9M$191.5M
Total liabilities$516.2M$561.0M$654.0M$741.9M$727.9M
Stockholders' equity$146.6M$122.2M$102.0M$99.9M$182.4M
Cash Flow Statement
Cash from operations$55.8M$63.6M$79.0M$48.8M$34.7M
Depreciation and amortization$18.1M$20.1M$26.8M$36.8M$42.1M
Stock-based compensation$20.4M$39.9M$61.9M$89.5M$133.3M
Capital expenditure$3.7M$2.4M$2.6M$3.0M$4.1M
Free cash flow$52.1M$61.2M$76.3M$45.8M$30.5M
Share repurchases$1.8M$0$0$60.2M$45.0M
Impairments$0$0$11.0M$6.4M$0

Shares outstanding 139.3M · Free float 77.6%

Annual filing data through FY ended March 31, 2026; float as of July 3, 2026.