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Overview/Stocks/CSCO

Cisco Systems, Inc. CSCO

NASDAQ · United States · Electronic Technology
$107.63+0.69 (+0.65%)

Market closed· Sep 30, 2026, 8:00 PM UTC· USD · Data may be delayed

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Prices may be delayed and are for informational purposes only - not investment advice.

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Revenue and net income (annual)

RevenueNet Income
2022
$51.56B
$11.81B
2023
$57.00B
$12.61B
2024
$53.80B
$10.32B
2025
$56.65B
$10.18B
2026
$63.33B
$13.27B

Valuation (computed from filings)

Fiscal FY2026 · 2026-07-25
Earnings per share
$3.33
P/E
32.3x
Book value / share
$12.61
P/B
8.5x
Revenue / share
$15.88
P/S
6.8x
Free cash flow yield
3.0%
Return on equity
26.4%
Operating margin
24.3%
Net margin
21.0%
Liabilities / equity
1.6x
Diluted shares
3.99B

These ratios divide the lines in the statements below by the current price; both inputs of every value are visible on this page. The P/E on the overview comes from the same calculation. P/E and P/S are left blank for loss-making companies or where revenue is not reported. Not investment advice.

Debt / Equity
0.62
Beta
0.99

Income Statement

FY2026FY2025FY2024FY2023FY2022
Revenue$63.33B$56.65B$53.80B$57.00B$51.56B
Revenue growth (YoY)+11.8%+5.3%-5.6%+10.6%—
Cost of RevenueMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Gross ProfitMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Gross marginMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Operating expensesMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Operating IncomeMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Operating marginMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
EBITDAMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Pre-tax incomeMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Income taxMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Net Income$13.27B$10.18B$10.32B$12.61B$11.81B
Net marginMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Diluted EPSMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Diluted sharesMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO

Balance Sheet

FY2026FY2025FY2024FY2023FY2022
Cash & equivalentsMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Total Current AssetsMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Total Assets$129.64B$122.29B$124.41B$101.85B$94.00B
Total Current LiabilitiesMakklerPROMakklerPROMakklerPRO

Cash Flow Statement

FY2026FY2025FY2024FY2023FY2022
Cash from Operations$14.18B$14.19B$10.88B$19.89B$13.23B
Capital expenditureMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Free cash flowMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Cash from InvestingMakklerPROMakklerPROMakklerPRO
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Taken from the company's own 10-K and 10-Q filings via the SEC's XBRL data service. The "LTM" column is the last completed fiscal year plus the current year to date, minus the same period a year earlier. Lines a company tags with a non-standard label are left blank rather than filled with an approximation. Not investment advice.

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Total debtMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
Total EquityMakklerPROMakklerPROMakklerPROMakklerPROMakklerPRO
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