Sprinklr Inc (CXM) — Defensive Interval Ratio

Latest as of January 2026: 514 days

Sprinklr Inc (CXM) has a Defensive Interval Ratio of 514 days as of January 2026. Defensive assets of $780.59 Million (cash $162.97 Million, short-term investments $339.54 Million, receivables $278.08 Million) cover 514 days of daily cash needs of $1.52 Million/day. Check CXM intangible-adjusted equity ratio to evaluate the tangible quality of the company's equity base.

Defensive Interval Ratio

514 days
Days of operational coverage

Defensive Assets

$780.59 Million
Cash + ST Investments + Receivables

Daily Cash Need

$1.52 Million
Current Liabilities ÷ 365

Current Liabilities

$554.09 Million
USD

Sprinklr Inc Defensive Interval Ratio (2020–2026)

This chart shows how Sprinklr Inc's Defensive Interval Ratio has evolved across 7 annual periods from 2020 to 2026. As of January 2026, the ratio stands at 514 days, meaning defensive assets of $780.59 Million can fund 514 days of operations without new revenue. Also explore CXM year-over-year net asset growth to track the company's year-over-year net asset growth rate.

Annual Defensive Interval Ratio for Sprinklr Inc (2020–2026)

The table below presents the year-by-year Defensive Interval Ratio for Sprinklr Inc from 2020 to 2026, covering 7 annual filings. Each row shows defensive assets, daily cash need, the DIR in days, and the change in days compared to the prior year. For live market cap and the full company financial profile, see Sprinklr Inc market capitalisation.

Year DIR (days) Defensive Assets (USD) Daily Cash Need Cash ST Investments Change (days)
2026 514 days $780.59 Million $1.52 Million/day $162.97 Million $339.54 Million ▼ -34 days
2025 548 days $776.79 Million $1.42 Million/day $145.27 Million $338.19 Million ▼ -126 days
2024 674 days $938.17 Million $1.39 Million/day $164.02 Million $498.53 Million ▲ +45 days
2023 629 days $790.78 Million $1.26 Million/day $188.39 Million $390.24 Million ▼ -28 days
2022 657 days $699.25 Million $1.06 Million/day $321.43 Million $210.98 Million ▲ +176 days
2021 481 days $397.79 Million $826.20K/day $68.04 Million $212.65 Million ▲ +309 days
2020 173 days $121.67 Million $704.48K/day $10.47 Million $0.00
DIR = (Cash + Short-term Investments + Net Receivables) / (Daily Cash Expenses)