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financial statements

The full income statement, balance sheet, and cash-flow statement for Cadence Design Systems Inc. (CDNS), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

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As-reported fiscal years.
Line itemTrendFY2025FY2024FY2023FY2022FY2022FY2021
Income Statementas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofJan 1 ’22as ofJan 2 ’21
Revenue
5.30B
YoY+14.1%
4.64B
YoY+13.5%
4.09B
YoY+14.8%
3.56B
YoY+19.2%
2.99B
YoY+11.4%
2.68B
YoY+14.8%
Selling, general & administrative
313M
YoY+14.4%
274M
YoY+13.0%
242M
YoY+0.1%
242M
YoY+28.1%
189M
YoY+22.4%
154M
YoY+10.5%
General & administrative
313M
YoY+14.4%
274M
YoY+13.0%
242M
YoY+0.1%
242M
YoY+28.1%
189M
YoY+22.4%
154M
YoY+10.5%
Selling & marketing
803M
YoY+6.0%
757M
YoY+9.7%
690M
YoY+14.2%
604M
YoY+7.8%
560M
YoY+8.5%
516M
YoY+7.2%
Restructuring
29.2M
YoY+22.8%
23.8M
YoY+115.8%
11.0M
YoY+19923.6%
55.0K
YoY+105.2%
-1.05M
YoY-111.4%
9.21M
YoY+6.9%
Amortization of intangibles
39.9M
YoY+31.5%
30.4M
YoY+67.2%
18.2M
YoY-1.7%
18.5M
YoY-6.0%
19.6M
YoY+9.1%
18.0M
YoY+48.5%
Provision for credit losses
829K
YoY-60.1%
2.08M
YoY-37.5%
3.33M
YoY+1529.9%
204K
YoY-61.1%
525K
YoY-67.8%
1.63M
YoY+157.6%
Operating income
1.49B
YoY+10.5%
1.35B
YoY+8.0%
1.25B
YoY+16.5%
1.07B
YoY+37.8%
779M
YoY+20.7%
646M
YoY+31.3%
Interest expense
117M
YoY+53.3%
76.0M
YoY+110.0%
36.2M
YoY+57.8%
22.9M
YoY+35.1%
17.0M
YoY-18.2%
20.7M
YoY+10.2%
Interest & investment income
102M
YoY+62.6%
62.5M
YoY+110.8%
29.6M
YoY+193.5%
10.1M
YoY+283.4%
2.63M
YoY-31.0%
3.82M
YoY-59.9%
Other non-operating income
147M
YoY+21.1%
121M
YoY+81.0%
66.9M
YoY+1341.2%
-5.39M
YoY-185.2%
6.33M
YoY-20.4%
7.95M
YoY+32.4%
Equity-method income
2.70M
YoY-25.0%
3.60M
YoY+227.3%
1.10M
YoY+123.9%
-4.60M
YoY+33.3%
Pre-tax income
1.52B
YoY+9.0%
1.40B
YoY+8.9%
1.28B
YoY+22.6%
1.05B
YoY+36.0%
768M
YoY+21.4%
633M
YoY+32.1%
Income tax
413M
YoY+21.4%
340M
YoY+41.3%
241M
YoY+22.6%
196M
YoY+171.0%
72.5M
YoY+72.1%
42.1M
YoY+108.3%
Net income
1.11B
YoY+5.1%
1.06B
YoY+1.4%
1.04B
YoY+22.6%
849M
YoY+22.0%
696M
YoY+17.8%
591M
YoY-40.3%
$4.06
YoY+5.5%
$3.85
YoY+0.8%
$3.82
YoY+23.6%
$3.09
YoY+23.6%
$2.50
YoY+18.5%
$2.11
YoY-40.2%
Balance Sheetas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofJan 1 ’22as ofJan 2 ’21
4.67B
YoY+16.3%
4.02B
YoY+103.2%
1.98B
YoY+15.8%
1.71B
YoY-0.5%
1.72B
YoY+16.0%
1.48B
YoY+26.4%
10.2B
YoY+13.1%
8.97B
YoY+58.3%
5.67B
YoY+10.4%
5.14B
YoY+17.1%
4.39B
YoY+11.0%
3.95B
YoY+17.7%
1.64B
YoY+19.4%
1.37B
YoY-13.9%
1.59B
YoY+18.0%
1.35B
YoY+38.8%
971M
YoY+21.9%
797M
YoY+18.5%
Deferred revenue (non-current)
156M
YoY+35.5%
115M
YoY+16.4%
98.9M
YoY+8.1%
91.5M
YoY-9.5%
101M
YoY-5.5%
107M
YoY+45.9%
Non-current lease liability
136M
YoY+25.2%
109M
YoY-5.6%
115M
YoY-17.2%
139M
YoY+30.1%
107M
YoY-6.0%
114M
YoY+34.4%
Deferred tax liabilities
48.0M
Other non-current liabilities
408M
YoY+20.1%
339M
YoY+23.1%
276M
YoY-9.5%
305M
YoY+35.0%
226M
YoY+9.0%
207M
YoY+27.4%
Total non-current liabilities
3.04B
YoY+3.9%
2.93B
YoY+334.6%
674M
YoY-35.4%
1.04B
YoY+54.8%
674M
YoY+2.0%
661M
YoY+13.6%
5.47B
YoY+17.1%
4.67B
YoY+37.3%
3.40B
YoY+24.0%
2.75B
YoY+0.2%
2.74B
YoY+9.9%
2.49B
YoY+18.6%
Cash Flowas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofJan 1 ’22as ofJan 2 ’21
1.73B
YoY+37.1%
1.26B
YoY-6.6%
1.35B
YoY+8.6%
1.24B
YoY+12.8%
1.10B
YoY+21.7%
905M
YoY+24.0%
-461M
YoY+45.0%
-837M
YoY-103.1%
-412M
YoY+44.2%
-739M
YoY-152.1%
-293M
YoY-0.3%
-292M
YoY-176.4%
-949M
YoY-176.6%
1.24B
YoY+254.2%
-804M
YoY-22.3%
-657M
YoY-2.1%
-644M
YoY-55.0%
-415M
YoY+6.4%
FX effect on cash
38.0M
YoY+241.8%
-26.8M
YoY-256.0%
-7.53M
YoY+85.8%
-52.8M
YoY-1326.2%
-3.70M
YoY-114.4%
25.7M
YoY+418.1%
Net change in cash
357M
YoY-78.2%
1.64B
YoY+1200.1%
126M
YoY+160.9%
-207M
YoY-228.7%
161M
YoY-28.1%
223M
YoY+29.8%
Interest paid
112M
YoY+159.0%
43.2M
YoY+23.7%
34.9M
YoY+65.4%
21.1M
YoY+32.4%
15.9M
YoY-19.4%
19.8M
YoY+10.9%
Income taxes paid
247M
YoY-51.5%
510M
YoY+101.0%
254M
YoY+8.8%
233M
YoY+59.3%
146M
YoY+38.2%
106M
YoY+152.5%
Valuation Ratiosas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofJan 1 ’22as ofJan 2 ’21
Market cap
85.1B
YoY+3.3%
82.4B
YoY+11.2%
74.1B
YoY+68.2%
44.1B
YoY-14.7%
51.6B
YoY+35.7%
38.1B
YoY+92.9%
P/E
76.7×
YoY-1.7%
78.1×
YoY+0.9%
77.4×
YoY+37.9%
56.1×
YoY-24.7%
74.5×
YoY+110.8%
35.3×
YoY-23.3%
P/S
16.1×
YoY-9.5%
17.8×
YoY-6.0%
18.9×
YoY+47.3%
12.8×
YoY-26.1%
17.4×
YoY+15.1%
15.1×
YoY+76.4%
P/B
15.5×
YoY-11.8%
17.6×
YoY-25.9%
23.8×
YoY+46.2%
16.3×
YoY-17.1%
19.6×
YoY+23.6%
15.9×
YoY+19.2%
P/FCF
53.6×
YoY-27.3%
73.7×
YoY+22.9%
60.0×
YoY+48.7%
40.3×
YoY-26.6%
55.0×
YoY+21.0%
45.4×
YoY+46.2%
Earnings yield
1.3%
YoY+1.8%
1.3%
YoY-0.9%
1.3%
YoY-27.5%
1.8%
YoY+32.8%
1.3%
YoY-52.6%
2.8%
YoY+30.4%
FCF yield
1.9%
YoY+37.5%
1.4%
YoY-18.6%
1.7%
YoY-32.8%
2.5%
YoY+36.3%
1.8%
YoY-17.4%
2.2%
YoY-31.6%
Source filing10-K10-K10-K10-K10-K10-K

About this data

Source: CDNS's SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn't file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all CDNS filings on SEC EDGAR → Not investment advice.