IntrinsicIntrinsic
OverviewFinancialsChartBusiness SummaryFilingsOwnershipValuation

Financial Statements — DT

Balance Sheet

(in billions USD)
MetricQ1 2027Q3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents1.061.091.231.250.910.910.930.780.700.700.420.560.570.410.370.390.300.250.25
Short-term Investments--0.100.090.100.100.100.08------------------------
Accounts Receivable0.380.470.320.290.390.300.240.360.260.240.300.190.190.260.150.130.200.110.09
Total Current Assets1.721.871.841.851.581.481.421.291.101.070.830.850.860.810.650.640.570.460.44
Property, Plant & Equipment0.070.070.070.070.050.050.050.050.050.050.050.050.050.040.040.040.040.030.03
Goodwill1.411.351.341.341.341.341.331.311.311.281.281.281.281.281.281.281.271.271.27
Intangible Assets0.070.020.020.030.020.030.040.050.050.050.070.080.100.120.130.140.160.180.19
Total Non-current Assets*0.210.140.140.150.120.120.121.711.681.651.581.571.571.591.591.581.591.601.60
Total Assets4.114.104.084.083.743.333.263.002.782.732.412.422.432.402.242.212.172.062.05
Accounts Payable0.010.010.020.010.010.020.000.010.020.010.010.000.000.020.020.000.010.010.00
Total Current Liabilities1.431.191.161.231.051.051.050.960.860.900.830.710.750.710.590.600.550.450.44
Long-term Debt--------------------0.000.210.240.300.330.360.450.480.51
Total Non-current Liabilities*0.230.160.140.150.130.140.140.130.120.120.120.310.340.410.430.460.560.580.62
Total Liabilities1.661.351.301.381.181.191.191.090.981.020.951.021.091.121.021.061.111.031.06
Retained Earnings0.480.430.390.330.25(0.12)(0.16)(0.24)(0.28)(0.32)(0.43)(0.45)(0.46)(0.46)(0.48)(0.50)(0.54)(0.56)(0.58)
Total Stockholder Equity2.452.752.782.702.552.142.071.911.801.701.471.401.351.281.221.161.061.020.99

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ1 2027Q4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022
Total Revenue554.55531.72515.47493.85477.35445.17436.17418.13399.22380.85365.10351.70332.89314.48297.46279.33267.27252.59240.77226.35
Cost of Revenue103.45101.4095.8489.7685.2185.0982.5677.7874.7571.8767.8764.3762.3459.5755.8255.7051.8047.9244.4641.67
Gross Profit451.10430.32419.64404.09392.14360.07353.61340.35324.47308.98297.23287.33270.54254.91241.63223.62215.48204.67196.31184.69
Research & Development135.99130.58120.57114.99108.17103.2998.3495.3787.5884.2780.1074.0866.2864.5553.4151.9148.4842.8340.8837.91
Selling, General & Admin61.7460.4152.2648.4456.3052.0649.3548.9544.9847.3443.2344.7539.0937.3936.2440.0736.3235.3732.6431.69
Total Operating Expenses379.62392.98346.90331.12329.80317.16306.14293.32282.44285.85261.51252.06236.25235.48207.75203.22196.38187.04175.09163.44
Operating Income71.4837.3472.7472.9762.3442.9147.4647.0342.0323.1235.7235.2734.2919.4333.8920.4019.0917.6321.2221.25
Pretax Income80.8046.8284.4587.1181.3955.7057.1257.8452.7730.1042.4240.7041.6925.9130.7218.6714.6717.2817.4117.30
Tax Provision44.1529.4044.4029.8633.4416.40(304.63)13.8314.15(7.84)(0.27)4.893.50(54.38)15.698.1512.5616.362.82(6.34)
Net Income36.6517.4240.0657.2447.9639.30361.7544.0138.6237.9442.6935.8138.1980.2915.0310.532.110.9314.5923.64
Basic EPS0.130.060.130.190.160.131.210.150.130.140.140.120.130.280.050.040.010.000.050.08
Diluted EPS0.120.060.130.190.160.121.190.150.130.130.140.120.130.270.050.040.010.000.050.08

Cash Flow Statement

(in millions USD)
MetricQ1 2027Q4 2026Q3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022
Operating Cash Flow306.24226.3633.7832.02269.69162.7942.2423.65230.74131.6775.6636.88133.90120.4361.9629.40143.1088.3160.8418.30
Capital Expenditures3.1513.966.554.197.4814.574.673.513.369.803.652.7510.275.924.394.336.915.934.164.66
Free Cash Flow*303.09212.4027.2327.83262.21148.2237.5720.14227.38121.8872.0134.13123.64114.5157.5725.07136.1982.3856.6913.64
Investing Cash Flow(72.91)7.69(16.88)1.94(8.45)(17.83)(4.86)(11.02)(35.59)(139.43)(8.21)(35.14)(10.27)(5.91)(4.39)(4.33)(6.91)(5.93)(4.35)(14.12)
Financing Cash Flow(269.98)(224.65)(150.36)(55.22)(43.85)(39.60)(27.46)(41.76)(42.81)6.9917.473.4322.7717.84(203.12)(26.95)(20.11)(28.18)(17.39)(19.56)

* Derived from reported values