CDNS: Cadence Design Systems, Inc. Financials
Cadence Design Systems, Inc. Income Statement
Total revenue
Net income
Gross margin TTM
86.36%
Operating margin TTM
31.15%
Net profit margin TTM
20.94%
Return on investment TTM
20.26%
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total revenue | 5,296,759,000 | 4,641,264,000 | 4,089,986,000 | 3,561,718,000 |
| Operating income | 1,649,781,000 | 1,350,763,000 | 1,251,225,000 | 1,073,686,000 |
| Net income | 1,108,888,000 | 1,055,484,000 | 1,041,144,000 | 848,952,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total revenue | 5,296,759,000 | 4,641,264,000 | 4,089,986,000 | 3,561,718,000 |
| Cost of revenue | 722,249,000 | 647,502,000 | 435,041,000 | 371,623,000 |
| Gross profit | 4,574,510,000 | 3,993,762,000 | 3,654,945,000 | 3,190,095,000 |
| Research and development expenses | 1,768,772,000 | 1,549,093,000 | 1,441,796,000 | 1,251,544,000 |
| General and administrative expenses | 313,387,000 | 273,961,000 | 242,430,000 | 242,116,000 |
| Selling and marketing expenses | 802,633,000 | 757,483,000 | 690,319,000 | 604,224,000 |
| Selling, general and administrative expenses | 1,116,020,000 | 1,031,444,000 | 932,749,000 | 846,340,000 |
| Other expenses | 39,937,000 | 54,140,000 | 29,175,000 | 18,525,000 |
| Operating expenses | 2,924,729,000 | 2,642,999,000 | 2,403,720,000 | 2,116,409,000 |
| Cost and expenses | 3,646,978,000 | 3,290,501,000 | 2,838,761,000 | 2,488,032,000 |
| Net interest income | -14,957,000 | -13,515,000 | -6,548,000 | -12,835,000 |
| Interest income | 101,584,000 | 62,484,000 | 29,637,000 | 10,099,000 |
| Interest expense | 116,541,000 | 75,999,000 | 36,185,000 | 22,934,000 |
| Depreciation and amortization | 233,844,000 | 195,015,000 | 145,743,000 | 135,430,000 |
| EBITDA | 1,872,428,000 | 1,666,833,000 | 1,463,854,000 | 1,203,727,000 |
| EBIT | 1,638,584,000 | 1,471,818,000 | 1,318,111,000 | 1,068,297,000 |
| Non-operating income (excl. interest) | 11,197,000 | -121,055,000 | -66,886,000 | 5,389,000 |
| Operating income | 1,649,781,000 | 1,350,763,000 | 1,251,225,000 | 1,073,686,000 |
| Total other income/expenses (net) | -127,738,000 | 45,056,000 | 30,701,000 | -28,323,000 |
| Income before tax | 1,522,043,000 | 1,395,819,000 | 1,281,926,000 | 1,045,363,000 |
| Income tax expense | 413,155,000 | 340,335,000 | 240,782,000 | 196,411,000 |
| Net income from continuing operations | 1,108,888,000 | 1,055,484,000 | 1,041,144,000 | 848,952,000 |
| Net income from discontinued operations | 0 | 0 | 0 | 0 |
| Other adjustments to net income | 0 | 0 | 0 | 0 |
| Net income | 1,108,888,000 | 1,055,484,000 | 1,041,144,000 | 848,952,000 |
| Net income deductions | 0 | 0 | 0 | 0 |
| Bottom line net income | 1,108,888,000 | 1,055,484,000 | 1,041,144,000 | 848,952,000 |
| EPS | 4 | 4 | 4 | 3 |
| Diluted EPS | 4 | 4 | 4 | 3 |
| Weighted average shares outstanding | 271,333,000 | 271,212,000 | 269,381,000 | 271,198,000 |
| Weighted average diluted shares outstanding | 273,312,000 | 273,833,000 | 272,748,000 | 275,011,000 |
Cadence Design Systems, Inc. Balance Sheet
Total assets
Total liabilities & equity
Liquidity ratio MRQ
—
Current ratio MRQ
—
Long-term debt / assets MRQ
2,480,150,000%
Total debt / assets MRQ
—
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total assets | 10,153,148,000 | 8,974,482,000 | 5,669,491,000 | 5,137,071,000 |
| Total liabilities | 4,678,967,000 | 4,300,904,000 | 2,265,220,000 | 2,391,958,000 |
| Total equity | 5,474,181,000 | 4,673,578,000 | 3,404,271,000 | 2,745,113,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Cash and cash equivalents | 3,001,317,000 | 2,644,030,000 | 1,008,152,000 | 882,325,000 |
| Short-term investments | 0 | 140,625,000 | 130,359,000 | 4,490,000 |
| Cash and short-term investments | 3,001,317,000 | 2,784,655,000 | 1,138,511,000 | 886,815,000 |
| Net receivables | 944,939,000 | 680,460,000 | 506,778,000 | 486,710,000 |
| Accounts receivable | 944,939,000 | 387,209,000 | 489,224,000 | 312,376,000 |
| Other receivables | 0 | 293,251,000 | 17,554,000 | 174,334,000 |
| Inventory | 303,545,000 | 257,711,000 | 181,661,000 | 128,005,000 |
| Prepaid expenses | 0 | 293,253,000 | 24,905,000 | 69,498,000 |
| Other current assets | 419,872,000 | 0 | 124,362,000 | 135,739,000 |
| Total current assets | 4,669,673,000 | 4,016,079,000 | 1,976,217,000 | 1,706,767,000 |
| Property, plant and equipment (net) | 517,004,000 | 604,390,000 | 554,010,000 | 541,830,000 |
| Goodwill | 2,749,143,000 | 2,378,671,000 | 1,535,845,000 | 1,374,268,000 |
| Intangible assets | 718,223,000 | 594,734,000 | 336,843,000 | 354,617,000 |
| Goodwill and intangible assets | 3,467,366,000 | 2,973,405,000 | 1,872,688,000 | 1,728,885,000 |
| Long-term investments | 0 | 124,086,000 | 138,321,000 | 119,997,000 |
| Tax assets | 917,733,000 | 982,057,000 | 880,001,000 | 853,691,000 |
| Other non-current assets | 581,371,999 | 274,465,000 | 248,254,000 | 185,901,000 |
| Total non-current assets | 5,483,474,999 | 4,958,403,000 | 3,693,274,000 | 3,430,304,000 |
| Other assets | 0 | 0 | 0 | 0 |
| Total assets | 10,153,148,000 | 8,974,482,000 | 5,669,491,000 | 5,137,071,000 |
| Total payables | 856,856,000 | 5,555,000 | 91,194,000 | 47,113,000 |
| Accounts payable | 856,856,000 | 5,555,000 | 91,194,000 | 47,113,000 |
| Other payables | 0 | 0 | 0 | 0 |
| Accrued expenses | 0 | 627,137,000 | 485,364,000 | 455,477,000 |
| Short-term debt | 0 | 0 | 349,285,000 | 100,000,000 |
| Capital lease obligations (current) | 0 | 0 | 0 | 0 |
| Tax payables | 0 | 0 | 0 | 0 |
| Deferred revenue | 778,435,000 | 737,413,000 | 665,024,000 | 745,106,000 |
| Other current liabilities | 0 | 0 | 0 | 0 |
| Total current liabilities | 1,635,291,000 | 1,370,105,000 | 1,590,867,000 | 1,347,696,000 |
| Long-term debt | 2,480,150,000 | 2,476,183,000 | 299,771,000 | 648,078,000 |
| Capital lease obligations (non-current) | 0 | 108,893,000 | 115,358,000 | 139,337,000 |
| Deferred revenue (non-current) | 155,997,000 | 115,168,000 | 98,931,000 | 91,524,000 |
| Deferred tax liabilities (non-current) | 0 | 0 | 0 | 0 |
| Other non-current liabilities | 407,528,999 | 230,555,000 | 160,293,000 | 165,323,000 |
| Total non-current liabilities | 3,043,675,999 | 2,930,799,000 | 674,353,000 | 1,044,262,000 |
| Other liabilities | 0 | 0 | 0 | 0 |
| Capital lease obligations | 0 | 108,893,000 | 115,358,000 | 139,337,000 |
| Total liabilities | 4,678,967,000 | 4,300,904,000 | 2,265,220,000 | 2,391,958,000 |
| Treasury stock | -6,344,213,000 | -5,309,579,000 | -4,604,323,000 | -3,824,163,000 |
| Preferred stock | 0 | 0 | 0 | 0 |
| Common stock | 4,719,443,000 | 4,181,737,000 | 3,166,964,000 | 2,765,673,000 |
| Retained earnings | 7,100,756,000 | 5,991,868,000 | 4,936,384,000 | 3,895,240,000 |
| Additional paid-in capital | 0 | 0 | 0 | 0 |
| Accumulated other comprehensive income/loss | -1,805,000 | -190,448,000 | -94,754,000 | -91,637,000 |
| Other stockholders' equity | 0 | 0 | 0 | 0 |
| Total stockholders' equity | 5,474,181,000 | 4,673,578,000 | 3,404,271,000 | 2,745,113,000 |
| Total equity | 5,474,181,000 | 4,673,578,000 | 3,404,271,000 | 2,745,113,000 |
| Minority interest | 0 | 0 | 0 | 0 |
| Total liabilities and total equity | 10,153,148,000 | 8,974,482,000 | 5,669,491,000 | 5,137,071,000 |
| Total investments | 0 | 264,711,000 | 268,680,000 | 124,487,000 |
| Total debt | 2,480,150,000 | 2,585,076,000 | 764,414,000 | 887,415,000 |
| Net debt | -521,167,000 | -58,954,000 | -243,738,000 | 5,090,000 |
Cadence Design Systems, Inc. Cash Flow Statement
Cash from operations
Cash from investing
Cash flow / share TTM
—
Revenue / share TTM
—
Operating cash flow TTM
—
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Cash from operations | 1,728,781,000 | 1,260,551,000 | 1,349,176,000 | 1,241,894,000 |
| Cash from investing | -460,523,000 | -837,118,000 | -412,249,000 | -738,634,000 |
| Cash from financing | -948,975,000 | 1,239,241,000 | -803,573,000 | -657,049,000 |
| Net change in cash | 357,287,000 | 1,635,878,000 | 125,827,000 | -206,615,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Net income | 1,108,888,000 | 1,055,484,000 | 1,041,144,000 | 848,952,000 |
| Depreciation and amortization | 233,844,000 | 195,015,000 | 140,370,000 | 135,430,000 |
| Deferred income tax | 66,048,000 | -128,737,000 | -36,512,000 | -107,606,000 |
| Stock-based compensation | 455,175,000 | 391,219,000 | 325,611,000 | 270,439,000 |
| Change in working capital | -73,251,000 | -208,975,000 | -98,778,000 | 87,545,000 |
| Accounts receivable | -274,894,000 | -180,287,000 | -11,748,000 | -138,471,000 |
| Inventory | -91,029,000 | -82,771,000 | -65,895,000 | -23,073,000 |
| Accounts payable | 184,897,000 | 0 | 5,415,000 | 113,945,000 |
| Other working capital | 107,775,000 | 54,083,000 | -26,550,000 | 135,144,000 |
| Other non-cash items | -61,923,000 | -43,455,000 | -22,659,000 | 7,134,000 |
| Net cash from operating activities | 1,728,781,000 | 1,260,551,000 | 1,349,176,000 | 1,241,894,000 |
| Investments in property, plant and equipment | -141,871,000 | -142,542,000 | -102,337,000 | -124,215,000 |
| Acquisitions (net) | -429,538,000 | -737,574,000 | -198,351,000 | -613,785,000 |
| Purchases of investments | -40,895,000 | -4,982,000 | -176,170,000 | -1,000,000 |
| Sales/maturities of investments | 140,281,000 | 47,980,000 | 64,775,000 | 366,000 |
| Other investing activities | 11,500,000 | 0 | -166,000 | 0 |
| Net cash from investing activities | -460,523,000 | -837,118,000 | -412,249,000 | -738,634,000 |
| Net debt issuance | 0 | 1,846,595,000 | -100,000,000 | 300,000,000 |
| Long-term net debt issuance | 0 | 1,846,595,000 | -100,000,000 | 300,000,000 |
| Short-term net debt issuance | 0 | 0 | 0 | 0 |
| Net stock issuance | -779,133,000 | -583,526,000 | -567,177,000 | -1,161,955,000 |
| Net common stock issuance | -779,133,000 | -583,526,000 | -567,177,000 | -1,056,624,000 |
| Common stock issuance | 145,901,000 | 204,237,000 | 132,957,000 | 105,331,000 |
| Common stock repurchased | -925,034,000 | -787,763,000 | -700,134,000 | -1,161,955,000 |
| Net preferred stock issuance | 0 | 0 | 0 | -105,331,000 |
| Net dividends paid | 0 | 0 | 0 | 0 |
| Common dividends paid | 0 | 0 | 0 | 0 |
| Preferred dividends paid | 0 | 0 | 0 | 0 |
| Other financing activities | -169,842,000 | -23,828,000 | -136,396,000 | 204,906,000 |
| Net cash from financing activities | -948,975,000 | 1,239,241,000 | -803,573,000 | -657,049,000 |
| Effect of FX changes on cash | 38,004,000 | -26,796,000 | -7,527,000 | -52,826,000 |
| Net change in cash | 357,287,000 | 1,635,878,000 | 125,827,000 | -206,615,000 |
| Cash at end of period | 3,001,317,000 | 2,644,030,000 | 1,008,152,000 | 882,325,000 |
| Cash at beginning of period | 2,644,030,000 | 1,008,152,000 | 882,325,000 | 1,088,940,000 |
| Operating cash flow | 1,728,781,000 | 1,260,551,000 | 1,349,176,000 | 1,241,894,000 |
| Capital expenditure | -141,871,000 | -142,542,000 | -102,503,000 | -124,215,000 |
| Free cash flow | 1,586,910,000 | 1,118,009,000 | 1,246,673,000 | 1,117,679,000 |
| Income taxes paid | 0 | 509,979,000 | 253,700,000 | 233,235,000 |
| Interest paid | 111,951,000 | 43,219,000 | 34,934,000 | 21,122,000 |