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Cadence Design Systems Financial Statements

Latest data: Dec 31, 2025

Cadence Design Systems (CDNS) reported revenue of $5.30B in FY2025 with net income of $1.11B. Total assets stood at $10.15B and free cash flow was $1.59B.

Cadence Design Systems Income Statement

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FY2021 – FY2025
Item Chart FY2021 FY2022 FY2023 FY2024 FY2025
Revenue $2.99B $3.56B $4.09B $4.64B $5.30B
Cost of Revenue -$307.01M -$371.62M -$435.04M -$647.50M -$722.25M
Gross Profit $2.68B $3.19B $3.65B $3.99B $4.57B
Operating Expenses -$1.90B -$2.12B -$2.40B -$2.64B -$2.92B
Operating Income $779.09M $1.07B $1.25B $1.35B $1.65B
Profit Before Tax $768.44M $1.05B $1.28B $1.40B $1.52B
Income Tax $72.48M $196.41M $240.78M $340.34M $413.16M
Net Income $695.96M $848.95M $1.04B $1.06B $1.11B
Diluted Shares 278.86M 275.01M 272.75M 273.83M 273.31M
Diluted EPS $2.50 $3.09 $3.82 $3.85 $4.06

Values in millions (M) and billions (B). All amounts in USD ($).

Understanding the Income Statement

The income statement shows Cadence Design Systems's revenue and expenses over a period. Revenue (the top line) minus costs gives gross profit; after operating expenses, interest, and taxes, the remainder is net income (the bottom line). Diluted EPS divides net income by all shares that could exist if options and convertibles were exercised.

Cadence Design Systems Balance Sheet

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FY2021 – FY2025
Item Chart FY2021 FY2022 FY2023 FY2024 FY2025
Total Current Assets $1.72B $1.71B $1.98B $4.02B $4.67B
Total Non-Current Assets $2.67B $3.43B $3.69B $4.96B $5.48B
Total Assets $4.39B $5.14B $5.67B $8.97B $10.15B
Total Current Liabilities $971.23M $1.35B $1.59B $1.37B $1.64B
Total Non-Current Liabilities $674.40M $1.04B $674.35M $2.93B $3.04B
Total Liabilities $1.65B $2.39B $2.27B $4.30B $4.68B
Total Equity $2.74B $2.75B $3.40B $4.67B $5.47B
Total Liabilities & Equity $4.39B $5.14B $5.67B $8.97B $10.15B

Values in millions (M) and billions (B). All amounts in USD ($).

Understanding the Balance Sheet

The balance sheet captures Cadence Design Systems's financial position at a point in time — what it owns (assets), what it owes (liabilities), and the residual value to shareholders (equity). Total assets always equals total liabilities plus equity.

Cadence Design Systems Cash Flow Statement

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FY2021 – FY2025
Item Chart FY2021 FY2022 FY2023 FY2024 FY2025
Net Income $695.96M $848.95M $1.04B $1.06B $1.11B
Cash from Operations $1.10B $1.24B $1.35B $1.26B $1.73B
Capital Expenditure -$66.88M -$124.22M -$102.50M -$142.54M -$141.87M
Cash from Investing -$292.95M -$738.63M -$412.25M -$837.12M -$460.52M
Debt Repayment $0.00 $300.00M -$100.00M $1.85B $0.00
Stock Buyback -$730.28M -$1.16B -$836.53M -$787.76M -$925.03M
Dividend Paid $0.00 $0.00 $0.00 $0.00 $0.00
Cash from Financing -$643.79M -$657.05M -$803.57M $1.24B -$948.98M
Free Cash Flow $1.03B $1.12B $1.25B $1.12B $1.59B

Values in millions (M) and billions (B). All amounts in USD ($).

Understanding Cash Flow

The cash flow statement tracks how Cadence Design Systems's cash moves through three activities: operations (day-to-day business), investing (acquisitions, equipment), and financing (debt, buybacks, dividends). Free cash flow — operating cash minus capital expenditure — shows what's available to return to shareholders.

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