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TEAM
$179.29+1.89%
as of close, Sep 30, 2026
☾ AH $179.29 +1.89%
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TEAM financial statements

The full income statement, balance sheet, and cash-flow statement for Atlassian Corporation (TEAM), 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.

Shares outstanding (point-in-time)

2024-06 260.0M2024-09 260.4M2024-12 262.0M2025-03 262.5M2025-06 262.3M2025-09 263.1M2025-12 263.7M2026-03 253.8M2026-06 253.1M-2.6% over 8 periods

SEC-filed end-of-period counts (cover pages and balance sheets, split-adjusted) — the series realized buyback yield is computed from. The weighted-average share lines in the statements below lag these by design: an average over the year sits near the midpoint of an ongoing buyback.

As-reported fiscal years.
Line itemTrendFY2026FY2025FY2024FY2023FY2022
Income Statementas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
Revenue6.57B+26.0%5.22B+19.7%4.36B+23.3%3.53B+26.1%2.80B+34.2%
5.58B+29.0%4.32B+21.5%3.56B+22.6%2.90B+23.4%2.35B+33.7%
Cost of revenue997M+11.4%895M+11.4%803M+26.8%634M+39.9%453M+36.5%
5.57B+25.0%4.45B+21.2%3.67B+13.1%3.25B+42.4%2.28B+41.1%
Research & development3.27B+22.5%2.67B+22.2%2.18B+16.8%1.87B+44.7%1.29B+38.5%
Selling, general & administrative755M+16.6%647M+6.0%611M+0.7%606M+34.1%452M+45.3%
General & administrative755M+16.6%647M+6.0%611M+0.7%606M+34.1%452M+45.3%
Selling & marketing1.54B+35.8%1.13B+29.3%877M+14.0%770M+43.7%536M+44.2%
Restructuring285M——96.9M—
Amortization of intangibles102M+82.9%55.5M+11.7%49.7M+50.2%33.1M+2.2%32.4M+1.9%
Operating income10.4M+107.9%-130M-11.4%-117M+66.1%-345M-592.6%70.1M-50.4%
Interest expense49.5M+61.9%30.6M-10.4%34.1M+13.0%30.1M-27.3%41.5M-55.2%
Interest & investment income69.7M-37.9%112M+16.2%96.7M+94.4%49.7M+2077.4%2.28M-68.1%
Other non-operating income-8.56M+83.0%-50.3M-62.6%-30.9M-313.2%14.5M+102.9%-502M+12.0%
Gain (loss) on equity securities—0.000.00+100.0%-11.4M+85.6%-79.6M-332.2%
Pre-tax income22.1M+122.3%-98.9M-15.8%-85.4M+72.5%-311M+33.9%-471M+8.5%
Income tax75.9M-51.9%158M-26.6%215M+22.5%176M+261.6%48.6M-24.8%
-53.8M+79.0%-257M+14.6%-301M+38.3%-487M+6.3%-520M+10.3%
Net income to common
————-614M+11.8%
-$0.21+78.6%-$0.98+15.5%-$1.16+38.9%-$1.90+7.3%-$2.05+11.6%
EPS (basic)-$0.21+78.6%-$0.98+15.5%-$1.16+38.9%-$1.90+7.3%-$2.05+11.6%
Weighted-avg shares (basic)260M-0.6%262M+1.0%259M+1.1%256M+1.2%253M+1.5%
Weighted-avg shares (diluted)260M-0.6%262M+1.0%259M+1.1%256M+1.2%253M+1.5%
Balance Sheetas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
2.80B-28.1%3.89B+26.5%3.08B+12.4%2.74B+44.3%1.90B+16.6%
Cash & equivalents1.24B-50.7%2.51B+15.4%2.18B+3.5%2.10B+51.8%1.39B+50.7%
Short-term investments0.00-100.0%424M+161.9%162M+1519.7%10.0M-86.4%73.3M
Accounts receivable1.27B+63.2%778M+23.9%628M+31.5%478M+55.0%308M
Prepaid expenses288M+63.6%176M+60.8%109M-25.2%146M+108.8%70.0M
6.10B+1.0%6.04B+15.9%5.21B+26.9%4.11B+23.4%3.33B+13.0%
Property, plant & equipment86.3M-17.9%105M+21.8%86.3M+6.0%81.4M-19.1%101M+52.0%
Operating lease right-of-use114M-32.6%169M-1.9%172M-6.4%184M-33.6%277M
Goodwill2.30B+76.5%1.30B+1.2%1.29B+77.2%727M+0.6%723M+1.0%
Intangible assets432M+76.5%245M-18.1%299M+333.0%69.1M-31.5%101M
Deferred tax assets4.09M+8.7%3.76M-4.4%3.93M-60.4%9.95M-3.8%10.3M
Other non-current assets154M+51.5%101M+63.4%62.1M-15.0%73.1M+24.1%58.9M
Total non-current assets
————1.46B+10.9%
3.57B+12.3%3.18B+21.9%2.61B+28.7%2.03B+27.2%1.59B-31.0%
Accounts payable263M+18.2%222M+25.1%178M+11.5%159M+96.1%81.2M
Accrued liabilities765M+12.2%682M+18.1%577M+36.4%423M+4.2%406M
Deferred revenue2.50B+12.1%2.23B+23.3%1.81B+32.5%1.36B+27.8%1.07B
Short-term & current debt——0.00-100.0%37.5M0.00-100.0%
Current lease liability48.5M-3.3%50.2M+2.5%49.0M+9.0%44.9M+10.6%40.6M
Other current liabilities45.3M+98.1%22.9M+7.2%21.3M-8.6%23.3M+187.2%8.12M
5.05B+7.4%4.70B+12.4%4.18B+21.1%3.45B+15.1%3.00B+13.2%
Long-term debt990M+0.2%988M+0.2%986M+2.5%962M-3.7%999M
Deferred revenue (non-current)166M-34.6%254M-17.6%308M+68.8%183M+56.7%117M
Non-current lease liability195M-3.3%201M-6.1%214M-9.8%238M-13.3%274M
Operating lease liability (total)243M-3.3%252M-4.5%263M-6.8%283M—
Deferred tax liabilities27.9M+16.6%23.9M+17.1%20.4M+91.1%10.7M+3319.6%312K
Other non-current liabilities95.4M+98.2%48.2M+20.6%39.9M+28.0%31.2M+113.3%14.6M
1.06B-21.3%1.35B+30.3%1.03B+57.8%655M+100.0%327M+4.5%
Additional paid-in capital7.18B+28.8%5.57B+32.3%4.21B+34.5%3.13B+43.4%2.18B
Retained earnings-6.11B-43.9%-4.24B-32.4%-3.20B-27.7%-2.51B-34.3%-1.87B
Accumulated other comprehensive income-17.0M-228.8%13.2M-47.7%25.3M-25.6%34.0M+145.3%13.9M
Total equity incl. non-controlling
————336M+13.8%
Total liabilities & equity6.10B+1.0%6.04B+15.9%5.21B+26.9%4.11B+23.4%3.33B
Cash Flowas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
1.35B-7.3%1.46B+0.8%1.45B+66.8%868M+5.7%821M+3.9%
Depreciation & amortization141M+52.3%92.4M+17.3%78.7M+29.2%60.9M+17.8%51.7M-7.5%
Intangible amortization102M+82.9%55.5M+11.7%49.7M+50.2%33.1M+2.2%32.4M+1.9%
Share-based compensation1.61B+17.9%1.36B+26.0%1.08B+14.1%948M+80.7%525M+54.0%
Deferred income taxes-23.1M-602.0%4.60M+65600.0%7.00K-99.9%8.18M+346.6%-3.32M+63.0%
Change in receivables484M+222.9%150M+1.1%148M-12.4%170M+25.8%135M+120.0%
Change in payables41.9M-2.3%42.9M+136.2%18.1M-77.0%78.9M+148.6%31.7M+204.0%
-807M-135.7%-342M+64.5%-964M-76509.4%-1.26M-103.4%36.5M-85.9%
Capital expenditure34.1M-24.1%44.9M+35.4%33.1M+28.3%25.8M-63.4%70.6M+123.9%
Free cash flow1.32B-6.8%1.42B+0.0%1.42B+68.0%842M+12.2%750M-1.1%
Acquisitions1.23B+8526.7%14.2M-98.3%848M+14579.9%5.78M-70.2%19.4M-78.8%
Sales/maturities of investments144M-0.5%145M+24.3%117M+57.6%74.0M-3.9%76.9M-83.1%
-1.80B-130.1%-783M-91.7%-408M-175.0%-148M+62.8%-399M+75.1%
Long-term debt issued0.000.00-100.0%987M0.00-100.0%1.00B
Long-term debt repaid0.000.00-100.0%1.00B0.00-100.0%1.55B-14.1%
Common stock issued0.000.000.000.000.00
Common stock repurchased1.80B+131.0%779M+97.2%395M+163.5%150M0.00
Dividends paid0.000.000.000.000.00
Net change in cash-1.26B-476.7%336M+352.3%74.2M-89.6%717M+59.6%449M+181.8%
Interest paid54.3M+0.1%54.3M-11.5%61.3M+32.6%46.2M+361.2%10.0M+54.3%
Income taxes paid161M-11.0%180M-28.9%254M+148.5%102M+53.3%66.6M+32.6%
Valuation Ratiosas ofJun 30 ’26as ofJun 30 ’25as ofJun 30 ’24as ofJun 30 ’23as ofJun 30 ’22
Market cap19.7B-63.0%53.3B+15.7%46.0B+6.6%43.2B-9.4%47.7B-25.6%
P/S3.0×-70.7%10.2×-7.6%11.1×-9.6%12.2×-28.2%17.0×-44.6%
P/B18.6×-53.0%39.6×-2.5%40.6×-38.5%66.0×-54.7%145.7×-28.8%
P/FCF14.9×-60.3%37.6×+4.0%36.2×-29.4%51.3×-19.3%63.5×-24.8%
FCF yield6.7%+152.1%2.7%-3.9%2.8%+41.7%2.0%+23.9%1.6%+33.1%
Source filing10-K10-K10-K10-K20-F

About this data

Source: TEAM’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 TEAM filings on SEC EDGAR → Not investment advice.