Palo Alto Networks IncPANW

時価総額
$1291.1億
PER
企業向けセキュリティ製品の最大手。次世代ファイアウォールとクラウドセキュリティ、Unit 42の脅威インテリジェンスを展開(チャネル6,500社超、2024年7月31日時点)。2023年12月にTalonを4億5860万ドルで買収。米国・欧州・日本中心に展開。
2013年
7月31日
2014年
7月31日
2015年
7月31日
2016年
7月31日
2017年
7月31日
2018年
7月31日
2019年
7月31日
2020年
7月31日
2021年
7月31日
2022年
7月31日
2023年
7月31日
2024年
7月31日
Net income (loss)-29-226-165-226-217-148-82-267-499-2674402,578
Share-based compensation for equity-based awards44100221393475497-6588951,0111,0751,075
Deferred income taxes------------2,034
Depreciation and amortization101929436096-206260283282283
Amortization of deferred contract costs-------254298362413446
Amortization of debt issuance costs-222232529-74143774
Reduction of operating lease right-of-use assets---------545055
Amortization of investment premiums, net of accretion of purchase discounts-2-2-3-3-3-0-6-13-135260
Accounts receivable, net4248771368333-436172902320154
Financing receivables, net----------739866
Deferred contract costs--------441459432489
Prepaid expenses and other assets91034-348126-409299141265134
Accounts payable6-1-31564--13-12691-15
Accrued compensation-2631-64344-7610530844
Accrued and other liabilities26134205345--40-28-47-68385
Deferred revenue-------8931,1961,9702,3022,181
Net cash provided by operating activities115883506588691,037-1,0361,5031,9852,7783,258
Purchases of investments-------1,1811,9592,2725,4603,551
Proceeds from sales of investments-----------956
Proceeds from maturities of investments203234339629777692-1,9531,2411,1192,8121,853
Business acquisitions, net of cash and restricted cash acquired-8615-91374-58477737205611
Purchases of property, equipment, and other assets22363473163112-214116193146157
Net cash used in investing activities-152-320-679-339-473-520-288-1,481-933-2,034-1,510
Repayments of convertible senior notes-----------1,034
Repurchases of common stock00--411259-1,1981,178892273567
Proceeds from sales of shares through employee equity incentive plans--48454653-84104137259284
Payments for taxes related to net share settlement of equity awards----2144-2329502027
Net cash used in financing activities255755139-3861,246-673-1,104-807-1,726-1,343
Net increase (decrease) in cash, cash equivalents, and restricted cash-------1,997-1,082245-983405
Equity consideration for business acquisitions-------113653027
Income Taxes Paid, Net02187911-172535147342
Cash paid for contractual interest-------142020206