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Palo Alto Networks Inc (PANW)

Palo Alto Networks Inc (PANW)
182.00 x 1 189.55 x 1
Post-market by (Cboe BZX)
184.01 -3.53 (-1.88%) 03/20/25 [NASDAQ]
182.00 x 1 189.55 x 1
Post-market 183.89 -0.12 (-0.07%) 19:49 ET
Financial Summary for Thu, Mar 20th, 2025
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Palo Alto Networks, Inc. offers network security solutions to enterprises, service providers and government entities worldwide. The company's next generation firewall products deliver natively integrated application, user, and content visibility and control through its operating system, hardware and software architecture. It serves the enterprise network security market, which includes Firewall, Unified Threat Management, Web Gateway, Intrusion Detection and Prevention and Virtual Private Network technologies. Through its products and subscription services, Palo Alto provides integrated protection against dynamic security threats while simplifying the IT security infrastructure. Its solutions incorporate application-specific integrated circuits, hardware architecture, operating system, and associated security and networking functions. The company's network security gateways protect customer data, reduce security complexities and lower total cost of ownership.

Fiscal Year End Date: 07/31

(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Sales 8,027,500 6,892,700 5,501,500 4,256,100 3,408,400
Sales Growth +16.46% +25.29% +29.26% +24.87% +17.55%
Net Income 2,577,600 439,700 -267,000 -498,900 -267,000
Net Income Growth +486.22% +264.68% +46.48% -86.85% -226.01%
(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Total Assets 19,990,900 14,501,100 12,253,600 10,241,600 9,065,400
Total Assets Growth +37.86% +18.34% +19.65% +12.97% +37.52%
Total Liabilities 14,821,200 12,752,700 12,043,600 9,607,100 7,963,600
Total Liabilities Growth +16.22% +5.89% +25.36% +20.64% +59.08%
(Values in U.S. Thousands) Jul, 2024 Jul, 2023 Jul, 2022 Jul, 2021 Jul, 2020
Operating Cash Flow 3,257,600 2,777,500 1,984,700 1,503,000 1,035,700
Operating Cash Flow Growth +17.29% +39.95% +32.05% +45.12% -1.89%
Net Cash Flow 404,600 -982,600 244,700 -1,081,600 1,996,700
Change in Net Cash Flow +141.18% -501.55% +122.62% -154.17% +229.30%
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