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NasdaqGS · Technology · Financials

Strategy Inc (MSTR) financial statements and cash flow.

Revenue, profitability, balance-sheet strength, and cash generation for MSTR. Market data source · as of 2026-06-30.

Section freshness

Price Aug 14, 4:00 PM EDT · Statements Jun 29, 8:00 PM EDT

Financial read

MSTR latest financial snapshot.

Start with the latest reported values below. Deeper quarterly and annual statement tables follow when supplied.

Revenue

$122.37M

+6.9% YoY

Net income

-$8.22B

+34.5% QoQ

Free cash flow

-$5.91M

-145.3% QoQ

Gross margin

66.64%

Gross profit $81.55M

Balance sheet coverage

MSTR balance sheet summary

Assets, liabilities, liquidity, debt, and equity sit beside income and cash-flow tables so the statement history reads as one model-ready dataset.

20 quarterly · 4 annual rows · Market data source · as of 2026-06-30

Open balance sheet table

Latest period

Q2 FY2026

20 quarterly · 4 annual rows

Assets / liabilities

$52.56B

Liabilities $7.24B

Cash / debt

$1.71B

Net cash -$5.00B

Equity / working capital

$30.89B

Working capital $2.17B

Financial statements

MSTR statement coverage.

Income statement, balance sheet, and cash-flow figures for MSTR, with quarterly and annual history in the tables below.

Data last updated

Jun 29, 2026

Income periods

24

Balance-sheet periods

24

Cash-flow periods

24

Quarterly and annual MSTR statements, sourced from Market data source · as of 2026-06-30.

Financial statement period

MSTR statement history

Market data source · as of 2026-06-30 · Data last updated: Jun 29, 2026

Income statement

Quarterly and annual rows for revenue, operating leverage, earnings quality, and margin direction.

8 / 20 Quarterly
PeriodRevenueGross profitOperating incomeInterest incomeContinuing opsNet incomeComprehensive incomeNet marginRevenue QoQNet income QoQ
Q2 FY2026$122.37M$81.55M-$8.33B-$8.22B-6717.14%-1.6%+34.5%
Q1 FY2026$124.30M$83.35M-$14.47B-$12.54B-10090.64%+1.1%-0.9%
Q4 FY2025$122.99M$81.31M-$17.45B-$12.44B-10112.09%-4.4%-546.6%
Q3 FY2025$128.69M$90.68M$3.89B$2.79B2164.12%+12.4%-72.2%
Q2 FY2025$114.49M$78.74M$14.03B$10.02B8752.75%+3.1%+337.6%
Q1 FY2025$111.07M$77.09M-$5.92B-$4.22B-3797.17%-8.0%-528.7%
Q4 FY2024$120.70M$86.53M-$1.02B-$670.81M-555.78%+4.0%-97.2%
Q3 FY2024$116.07M$81.72M-$432.58M-$340.17M-293.07%+4.2%-231.7%

Balance sheet

Balance-sheet history for assets, liabilities, liquidity, debt, equity, and shares outstanding.

8 / 20 Quarterly
PeriodCashCurrent assetsCurrent liabilitiesTotal assetsTotal liabilitiesTotal debtCapital leasesTotal equitySharesDebt QoQ
Q2 FY2026$1.71B$2.67B$495.11M$52.56B$7.24B$6.71B$30.89B-18.1%
Q1 FY2026$2.21B$2.39B$395.06M$54.27B$8.63B$8.20B$36.65B+0.1%
Q4 FY2025$2.30B$2.56B$456.49M$61.64B$10.60B$8.19B$44.12B+0.2%
Q3 FY2025$54.28M$213.95M$324.09M$73.62B$15.50B$8.17B$52.33B+0.1%
Q2 FY2025$50.09M$213.46M$314.57M$64.77B$14.40B$8.16B$47.48B+0.3%
Q1 FY2025$60.30M$203.61M$308.69M$43.92B$10.39B$8.14B$32.22B+13.2%
Q4 FY2024$38.12M$252.32M$355.38M$25.84B$7.61B$7.19B$30.98B+70.7%
Q3 FY2024$46.34M$186.04M$288.11M$8.34B$4.57B$4.21B$3.77B+9.5%

Cash flow

Operating cash generation, capital expenditure, free cash flow, buybacks, dividends, and cash movement.

8 / 20 Quarterly
PeriodOperating cash flowCapExFree cash flowNet incomeStock compDebt issuanceDividends paidBuybacksChange in cashFCF QoQ
Q2 FY2026-$4.14M$1.77M-$5.91M-$8.22B-145.3%
Q1 FY2026$13.99M$952,000$13.04M-$12.54B+158.7%
Q4 FY2025-$21.63M$584,000-$22.21M-$12.44B-100.0%
Q3 FY2025-$8.31M$2.80M-$11.11M$2.79B+70.0%
Q2 FY2025-$34.91M$2.09M-$37.01M$10.02B-621.9%
Q1 FY2025-$2.39M$2.74M-$5.13M-$4.22B+70.9%
Q4 FY2024-$17.32M$284,000-$17.61M-$670.81M+57.5%
Q3 FY2024-$40.97M$426,000-$41.39M-$340.17M-72.1%

Valuation and returns

Enterprise value
$41.64B
TECHi computed
Return on equity
-98.47%
Market data source
Return on assets
-57.86%
Market data source
Debt / equity
0.22
Current ratio 5.39

Ratio values use provider-attributed fields when available and otherwise fall back to TECHi statement math from the visible rows on this page.

Annual revenue and income multiples

Annual sales and income multiple reads use the latest annual statement when available, then fall back to trailing-twelve-month statement math from the visible quarterly rows.

Annual revenue base
$477.23M
Annual statement 2025-12-31
Annual income base
-$3.85B
Annual statement 2025-12-31
Market cap / annual revenue
76.78
Live market value divided by annual revenue

Annual sales and income multiple

EV / annual revenue87.25

Market capitalization bridge

Market cap / annual revenue76.78

TTM valuation multiples

TTM revenue
$498.35M
Trailing twelve months
TTM EBIT
-$36.36B
TTM operating income
Market cap / TTM revenue
73.53
Live market value divided by trailing twelve months revenue
EV / TTM revenue
83.55
Enterprise value divided by trailing twelve months revenue

Live market value is matched against trailing-twelve-month statement bases first so the multiple moves with the tape instead of anchoring to stale fiscal-year rows.

Revenue, net income, and free cash flow

Revenue$122.37MNet income-$8.22BFree cash flow-$5.91M
Q1 FY2025Q4 FY2025Q2 FY2026

Quarterly statement rows, shown on one common dollar scale so margin compression and cash conversion stand out quickly.

Efficiency

Growth vs cost pressure

Revenue growth YoY+6.9%
Debt growth YoY-17.8%
Operating expense growth YoY+160.3%

Cash conversion

FCF margini-5.26%
CapEx / revenuei1.22%

Quarterly margin heatmap

Gross margin
Q1 FY2025
69.41%
Q2 FY2025
68.77%
Q3 FY2025
70.46%
Q4 FY2025
66.11%
Q1 FY2026
67.06%
Q2 FY2026
66.64%
Operating margin
Q1 FY2025
-5331.44%
Q2 FY2025
12256.30%
Q3 FY2025
3023.40%
Q4 FY2025
-14184.97%
Q1 FY2026
-11641.53%
Q2 FY2026
-6808.11%
Net margin
Q1 FY2025
-3797.17%
Q2 FY2025
8752.75%
Q3 FY2025
2164.12%
Q4 FY2025
-10112.09%
Q1 FY2026
-10090.64%
Q2 FY2026
-6717.14%

Latest quarter expense mix

Cost of revenue$40.82M
Operating expenses$8.41B
R&D$23.10M

Profit bridge

EBIT-$8.33B
Pretax income-$8.22B
Tax expense$1.56M

Other income statement lines

Income before tax-$8.22B
Income tax expense$1.56M

Balance sheet · Q2 FY2026

Cash & equivalents
$1.71B
Total debt
$6.71B
Net cash
-$5.00B
Net debt position
Total equity
$30.89B

Balance sheet detail

Current assets
$2.67B
Current liabilities
$495.11M
Receivables
$123.79M
Property, plant & equipment
$28.34M
Current debt
$39.81M
Long-term debt
$6.67B

Debt and liquidity

Debt / revenuei13.46
Debt / income0.22
Cash / debt0.26
Quick ratioi3.71

Cash + short-term investments + receivables / current liabilities

Cash generation

Operating cash flow
-$4.14M
Capital expenditure
$1.77M
Free cash flow
-$5.91M

Cash-flow detail

Depreciation & amortization
$12.36M
Investing cash flow
-$7.11B
Financing cash flow
$6.62B
Stock issuance
$4.93M
Common stock issued
Net buybacks
-$4.93M
Repurchases less stock issuance

Cash flow read

MSTR is consuming cash this period.

Negative free cash flow can be deliberate (heavy capex on a growth project) or stress (operating cash flow turning south). Compare -$4.14M of operating cash flow against $1.77M of capex to see which side is moving.

Frequently asked

Common questions.

What financial data is available for MSTR?

The MSTR Financials page renders only the current income-statement, balance-sheet, cash-flow, or fund rows supplied for Strategy Inc. Missing modules and empty line items are omitted.

How current are MSTR's financial statements?

Each visible statement row keeps its reported period and provider attribution. The route redirects to the main quote when no usable financial or fund data remains.