US Stock MarketDetailed Quotes

ZUO Zuora

Watchlist
  • 8.520
  • +0.120+1.43%
Close 02/27 16:00 ET
  • 8.640
  • +0.120+1.41%
Post 17:51 ET
1.22BMarket Cap-7344P/E (TTM)

Zuora Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/10/31
(Q2)2023/07/31
(Q1)2023/04/30
(FY)2023/01/31
(Q4)2023/01/31
(Q3)2022/10/31
(Q2)2022/07/31
(Q1)2022/04/30
(FY)2022/01/31
(Q4)2022/01/31
Assets
Current assets
Cash, cash equivalents and short term investments
23.25%493.74M
-9.45%406.23M
-12.30%396.87M
79.32%386.25M
79.32%386.25M
97.02%400.6M
123.31%448.64M
129.26%452.55M
15.43%215.39M
15.43%215.39M
-Cash and cash equivalents
127.60%414.83M
56.22%323.28M
-32.01%238.39M
79.05%203.24M
79.05%203.24M
56.36%182.26M
97.86%206.94M
246.76%350.63M
20.61%113.51M
20.61%113.51M
-Short-term investments
-63.86%78.91M
-65.68%82.95M
55.49%158.48M
79.63%183.01M
79.63%183.01M
151.63%218.34M
150.95%241.71M
5.86%101.93M
10.16%101.88M
10.16%101.88M
Receivables
7.31%85.49M
26.88%89.42M
17.62%90.53M
16.63%98.93M
16.63%98.93M
6.75%79.67M
18.61%70.48M
24.13%76.97M
4.64%84.82M
4.64%84.82M
-Accounts receivable
3.25%78.3M
19.99%81.23M
11.14%82.58M
11.52%91.74M
11.52%91.74M
4.81%75.84M
20.37%67.69M
24.92%74.31M
4.32%82.26M
4.32%82.26M
-Taxes receivable
151.56%4.2M
184.93%4.23M
210.94%4.63M
203.94%3.86M
203.94%3.86M
60.54%1.67M
132.19%1.49M
115.63%1.49M
166.25%1.27M
166.25%1.27M
-Other receivables
38.40%3M
205.16%3.96M
183.33%3.32M
157.95%3.33M
157.95%3.33M
75.36%2.16M
-48.92%1.3M
-36.00%1.17M
-25.28%1.29M
-25.28%1.29M
Prepaid assets
5.69%11.99M
9.02%12.97M
9.40%10.94M
15.38%12.8M
15.38%12.8M
7.96%11.34M
4.41%11.9M
3.43%10M
19.89%11.09M
19.89%11.09M
Current deferred assets
-2.78%15.3M
-3.18%15.33M
-15.98%12.82M
7.97%16.28M
7.97%16.28M
14.82%15.74M
21.00%15.83M
15.91%15.25M
18.63%15.08M
18.63%15.08M
Other current assets
0.30%4.38M
18.88%4.96M
10.79%3.99M
120.33%4.3M
120.33%4.3M
36.38%4.36M
-2.23%4.17M
-18.20%3.61M
-52.61%1.95M
-52.61%1.95M
Total current assets
19.38%610.89M
-4.01%528.91M
-7.74%515.15M
57.93%518.55M
57.93%518.55M
67.57%511.71M
90.62%551.02M
94.80%558.37M
11.78%328.34M
11.78%328.34M
Non current assets
Net PPE
-10.07%50.87M
-9.51%52.54M
-7.68%54.57M
-17.23%49.93M
-17.23%49.93M
-24.81%56.56M
-25.02%58.07M
-27.08%59.11M
-25.03%60.32M
-25.03%60.32M
-Gross PPE
-5.52%89.8M
-2.52%93.71M
-2.03%93.35M
-8.68%86.37M
-8.68%86.37M
-21.50%95.04M
-20.28%96.14M
-21.57%95.29M
-19.92%94.59M
-19.92%94.59M
-Accumulated depreciation
-1.18%-38.93M
-8.15%-41.17M
-7.20%-38.78M
-6.36%-36.45M
-6.36%-36.45M
16.08%-38.48M
11.78%-38.07M
10.52%-36.18M
9.00%-34.27M
9.00%-34.27M
Goodwill and other intangible assets
-1.29%65.69M
241.66%68.87M
234.79%68.73M
218.69%67.19M
218.69%67.19M
207.55%66.55M
-9.17%20.16M
-2.87%20.53M
-2.21%21.08M
-2.21%21.08M
-Goodwill
4.53%55M
224.12%57.15M
219.14%56.27M
206.21%53.99M
206.21%53.99M
198.42%52.62M
0.00%17.63M
0.00%17.63M
0.00%17.63M
0.00%17.63M
-Other intangible assets
-23.27%10.69M
364.13%11.72M
330.06%12.46M
282.42%13.2M
282.42%13.2M
247.73%13.93M
-44.61%2.53M
-17.32%2.9M
-12.12%3.45M
-12.12%3.45M
Non current deferred assets
-0.81%26.66M
-0.12%27.01M
12.76%30.28M
5.70%28.25M
5.70%28.25M
15.31%26.88M
25.77%27.05M
23.87%26.86M
22.01%26.73M
22.01%26.73M
Other non current assets
-10.33%4.04M
-2.76%4.51M
-0.38%4.43M
-2.30%4.68M
-2.30%4.68M
22.25%4.5M
35.88%4.64M
22.97%4.45M
24.40%4.79M
24.40%4.79M
Total non current assets
-4.68%147.25M
39.15%152.94M
42.43%158.02M
32.88%150.05M
32.88%150.05M
24.74%154.48M
-11.76%109.91M
-12.98%110.95M
-11.62%112.92M
-11.62%112.92M
Total assets
13.80%758.13M
3.17%681.85M
0.57%673.16M
51.52%668.6M
51.52%668.6M
55.21%666.19M
59.79%660.93M
61.62%669.32M
4.68%441.25M
4.68%441.25M
Liabilities
Current liabilities
Payables
-60.96%4.77M
-40.12%5.82M
9.62%10.27M
-43.94%5.16M
-43.94%5.16M
77.63%12.22M
32.53%9.72M
95.05%9.37M
38.95%9.21M
38.95%9.21M
-accounts payable
-95.62%465K
-86.72%1.02M
-16.27%5.99M
-84.19%1.07M
-84.19%1.07M
204.85%10.61M
105.70%7.65M
749.76%7.16M
201.69%6.79M
201.69%6.79M
-Total tax payable
167.89%4.31M
132.66%4.8M
93.23%4.28M
68.79%4.09M
68.79%4.09M
-52.71%1.61M
-42.84%2.06M
-44.09%2.22M
-44.67%2.42M
-44.67%2.42M
Current accrued expenses
-50.86%9.14M
-22.04%10.88M
5.93%15.16M
84.37%21.76M
84.37%21.76M
32.33%18.6M
25.34%13.96M
59.02%14.31M
16.02%11.8M
16.02%11.8M
Current debt and capital lease obligation
-23.25%7.4M
-23.55%7.9M
-14.16%9.85M
-29.58%9.24M
-29.58%9.24M
-31.05%9.64M
-30.06%10.33M
-25.19%11.48M
-6.45%13.12M
-6.45%13.12M
-Current debt
----
----
----
----
----
----
----
-87.01%571K
-62.25%1.66M
-62.25%1.66M
-Current capital lease obligation
-23.25%7.4M
-23.55%7.9M
-9.66%9.85M
-19.39%9.24M
-19.39%9.24M
-14.17%9.64M
-5.11%10.33M
-0.36%10.91M
19.02%11.46M
19.02%11.46M
Current deferred liabilities
4.00%158.41M
11.07%164.56M
4.58%164.33M
9.43%167.15M
9.43%167.15M
17.78%152.32M
24.59%148.16M
23.85%157.14M
19.61%152.74M
19.61%152.74M
Other current liabilities
433.02%14.37M
2,540.13%83.09M
914.33%77.8M
--77.83M
--77.83M
--2.7M
--3.15M
--7.67M
----
----
Current liabilities
-1.46%225.07M
41.07%302.6M
34.06%304.07M
42.10%311.62M
42.10%311.62M
16.99%228.4M
19.48%214.51M
24.33%226.82M
16.65%219.3M
16.65%219.3M
Non current liabilities
Long term debt and capital lease obligation
58.84%394.71M
2.54%254.27M
2.42%253.64M
444.18%248.33M
444.18%248.33M
414.13%248.5M
388.17%247.96M
357.64%247.65M
-17.42%45.63M
-17.42%45.63M
-Long term debt
71.14%356.65M
3.86%214.4M
3.82%212.31M
--210.4M
--210.4M
--208.39M
--206.43M
35,527.18%204.5M
----
----
-Long term capital lease obligation
-5.09%38.06M
-4.02%39.87M
-4.22%41.33M
-16.89%37.92M
-16.89%37.92M
-17.03%40.1M
-18.23%41.53M
-19.41%43.15M
-14.85%45.63M
-14.85%45.63M
Non current deferred liabilities
39.75%5.44M
16.85%4.9M
2.58%4.45M
3.61%4.16M
3.61%4.16M
30.32%3.89M
38.02%4.19M
37.33%4.34M
16.08%4.01M
16.08%4.01M
Other non current liabilities
389.01%7.34M
357.68%7.36M
343.91%7.32M
331.10%7.33M
331.10%7.33M
-49.17%1.5M
-44.86%1.61M
-43.24%1.65M
-41.00%1.7M
-41.00%1.7M
Total non current liabilities
60.50%407.49M
5.03%266.53M
4.64%265.41M
406.00%259.82M
406.00%259.82M
367.79%253.89M
347.17%253.76M
321.47%253.64M
-16.64%51.35M
-16.64%51.35M
Total liabilities
31.16%632.56M
21.54%569.13M
18.53%569.48M
111.14%571.44M
111.14%571.44M
93.31%482.29M
98.18%468.27M
98.03%480.46M
8.43%270.65M
8.43%270.65M
Shareholders'equity
Share capital
0.00%14K
7.69%14K
7.69%14K
7.69%14K
7.69%14K
7.69%14K
0.00%13K
8.33%13K
8.33%13K
8.33%13K
-common stock
0.00%14K
7.69%14K
7.69%14K
7.69%14K
7.69%14K
7.69%14K
0.00%13K
8.33%13K
8.33%13K
8.33%13K
Retained earnings
-23.75%-808.78M
-30.29%-803.27M
-33.09%-780.71M
-35.14%-761.42M
-35.14%-761.42M
-23.72%-653.56M
-21.99%-616.53M
-21.78%-586.62M
-21.43%-563.45M
-21.43%-563.45M
Paid-in capital
11.42%936.15M
13.13%917.08M
14.03%885.24M
17.07%859.48M
17.07%859.48M
18.74%840.22M
18.83%810.64M
18.98%776.32M
15.59%734.15M
15.59%734.15M
Gains losses not affecting retained earnings
34.71%-1.81M
25.02%-1.09M
0.35%-862K
-750.93%-919K
-750.93%-919K
-893.41%-2.77M
-390.06%-1.46M
-227.77%-865K
-113.57%-108K
-113.57%-108K
Total stockholders'equity
-31.72%125.58M
-41.49%112.73M
-45.10%103.68M
-43.05%97.16M
-43.05%97.16M
2.33%183.9M
8.64%192.67M
10.12%188.86M
-0.76%170.61M
-0.76%170.61M
Total equity
-31.72%125.58M
-41.49%112.73M
-45.10%103.68M
-43.05%97.16M
-43.05%97.16M
2.33%183.9M
8.64%192.67M
10.12%188.86M
-0.76%170.61M
-0.76%170.61M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)2023/10/31(Q2)2023/07/31(Q1)2023/04/30(FY)2023/01/31(Q4)2023/01/31(Q3)2022/10/31(Q2)2022/07/31(Q1)2022/04/30(FY)2022/01/31(Q4)2022/01/31
Assets
Current assets
Cash, cash equivalents and short term investments 23.25%493.74M-9.45%406.23M-12.30%396.87M79.32%386.25M79.32%386.25M97.02%400.6M123.31%448.64M129.26%452.55M15.43%215.39M15.43%215.39M
-Cash and cash equivalents 127.60%414.83M56.22%323.28M-32.01%238.39M79.05%203.24M79.05%203.24M56.36%182.26M97.86%206.94M246.76%350.63M20.61%113.51M20.61%113.51M
-Short-term investments -63.86%78.91M-65.68%82.95M55.49%158.48M79.63%183.01M79.63%183.01M151.63%218.34M150.95%241.71M5.86%101.93M10.16%101.88M10.16%101.88M
Receivables 7.31%85.49M26.88%89.42M17.62%90.53M16.63%98.93M16.63%98.93M6.75%79.67M18.61%70.48M24.13%76.97M4.64%84.82M4.64%84.82M
-Accounts receivable 3.25%78.3M19.99%81.23M11.14%82.58M11.52%91.74M11.52%91.74M4.81%75.84M20.37%67.69M24.92%74.31M4.32%82.26M4.32%82.26M
-Taxes receivable 151.56%4.2M184.93%4.23M210.94%4.63M203.94%3.86M203.94%3.86M60.54%1.67M132.19%1.49M115.63%1.49M166.25%1.27M166.25%1.27M
-Other receivables 38.40%3M205.16%3.96M183.33%3.32M157.95%3.33M157.95%3.33M75.36%2.16M-48.92%1.3M-36.00%1.17M-25.28%1.29M-25.28%1.29M
Prepaid assets 5.69%11.99M9.02%12.97M9.40%10.94M15.38%12.8M15.38%12.8M7.96%11.34M4.41%11.9M3.43%10M19.89%11.09M19.89%11.09M
Current deferred assets -2.78%15.3M-3.18%15.33M-15.98%12.82M7.97%16.28M7.97%16.28M14.82%15.74M21.00%15.83M15.91%15.25M18.63%15.08M18.63%15.08M
Other current assets 0.30%4.38M18.88%4.96M10.79%3.99M120.33%4.3M120.33%4.3M36.38%4.36M-2.23%4.17M-18.20%3.61M-52.61%1.95M-52.61%1.95M
Total current assets 19.38%610.89M-4.01%528.91M-7.74%515.15M57.93%518.55M57.93%518.55M67.57%511.71M90.62%551.02M94.80%558.37M11.78%328.34M11.78%328.34M
Non current assets
Net PPE -10.07%50.87M-9.51%52.54M-7.68%54.57M-17.23%49.93M-17.23%49.93M-24.81%56.56M-25.02%58.07M-27.08%59.11M-25.03%60.32M-25.03%60.32M
-Gross PPE -5.52%89.8M-2.52%93.71M-2.03%93.35M-8.68%86.37M-8.68%86.37M-21.50%95.04M-20.28%96.14M-21.57%95.29M-19.92%94.59M-19.92%94.59M
-Accumulated depreciation -1.18%-38.93M-8.15%-41.17M-7.20%-38.78M-6.36%-36.45M-6.36%-36.45M16.08%-38.48M11.78%-38.07M10.52%-36.18M9.00%-34.27M9.00%-34.27M
Goodwill and other intangible assets -1.29%65.69M241.66%68.87M234.79%68.73M218.69%67.19M218.69%67.19M207.55%66.55M-9.17%20.16M-2.87%20.53M-2.21%21.08M-2.21%21.08M
-Goodwill 4.53%55M224.12%57.15M219.14%56.27M206.21%53.99M206.21%53.99M198.42%52.62M0.00%17.63M0.00%17.63M0.00%17.63M0.00%17.63M
-Other intangible assets -23.27%10.69M364.13%11.72M330.06%12.46M282.42%13.2M282.42%13.2M247.73%13.93M-44.61%2.53M-17.32%2.9M-12.12%3.45M-12.12%3.45M
Non current deferred assets -0.81%26.66M-0.12%27.01M12.76%30.28M5.70%28.25M5.70%28.25M15.31%26.88M25.77%27.05M23.87%26.86M22.01%26.73M22.01%26.73M
Other non current assets -10.33%4.04M-2.76%4.51M-0.38%4.43M-2.30%4.68M-2.30%4.68M22.25%4.5M35.88%4.64M22.97%4.45M24.40%4.79M24.40%4.79M
Total non current assets -4.68%147.25M39.15%152.94M42.43%158.02M32.88%150.05M32.88%150.05M24.74%154.48M-11.76%109.91M-12.98%110.95M-11.62%112.92M-11.62%112.92M
Total assets 13.80%758.13M3.17%681.85M0.57%673.16M51.52%668.6M51.52%668.6M55.21%666.19M59.79%660.93M61.62%669.32M4.68%441.25M4.68%441.25M
Liabilities
Current liabilities
Payables -60.96%4.77M-40.12%5.82M9.62%10.27M-43.94%5.16M-43.94%5.16M77.63%12.22M32.53%9.72M95.05%9.37M38.95%9.21M38.95%9.21M
-accounts payable -95.62%465K-86.72%1.02M-16.27%5.99M-84.19%1.07M-84.19%1.07M204.85%10.61M105.70%7.65M749.76%7.16M201.69%6.79M201.69%6.79M
-Total tax payable 167.89%4.31M132.66%4.8M93.23%4.28M68.79%4.09M68.79%4.09M-52.71%1.61M-42.84%2.06M-44.09%2.22M-44.67%2.42M-44.67%2.42M
Current accrued expenses -50.86%9.14M-22.04%10.88M5.93%15.16M84.37%21.76M84.37%21.76M32.33%18.6M25.34%13.96M59.02%14.31M16.02%11.8M16.02%11.8M
Current debt and capital lease obligation -23.25%7.4M-23.55%7.9M-14.16%9.85M-29.58%9.24M-29.58%9.24M-31.05%9.64M-30.06%10.33M-25.19%11.48M-6.45%13.12M-6.45%13.12M
-Current debt -----------------------------87.01%571K-62.25%1.66M-62.25%1.66M
-Current capital lease obligation -23.25%7.4M-23.55%7.9M-9.66%9.85M-19.39%9.24M-19.39%9.24M-14.17%9.64M-5.11%10.33M-0.36%10.91M19.02%11.46M19.02%11.46M
Current deferred liabilities 4.00%158.41M11.07%164.56M4.58%164.33M9.43%167.15M9.43%167.15M17.78%152.32M24.59%148.16M23.85%157.14M19.61%152.74M19.61%152.74M
Other current liabilities 433.02%14.37M2,540.13%83.09M914.33%77.8M--77.83M--77.83M--2.7M--3.15M--7.67M--------
Current liabilities -1.46%225.07M41.07%302.6M34.06%304.07M42.10%311.62M42.10%311.62M16.99%228.4M19.48%214.51M24.33%226.82M16.65%219.3M16.65%219.3M
Non current liabilities
Long term debt and capital lease obligation 58.84%394.71M2.54%254.27M2.42%253.64M444.18%248.33M444.18%248.33M414.13%248.5M388.17%247.96M357.64%247.65M-17.42%45.63M-17.42%45.63M
-Long term debt 71.14%356.65M3.86%214.4M3.82%212.31M--210.4M--210.4M--208.39M--206.43M35,527.18%204.5M--------
-Long term capital lease obligation -5.09%38.06M-4.02%39.87M-4.22%41.33M-16.89%37.92M-16.89%37.92M-17.03%40.1M-18.23%41.53M-19.41%43.15M-14.85%45.63M-14.85%45.63M
Non current deferred liabilities 39.75%5.44M16.85%4.9M2.58%4.45M3.61%4.16M3.61%4.16M30.32%3.89M38.02%4.19M37.33%4.34M16.08%4.01M16.08%4.01M
Other non current liabilities 389.01%7.34M357.68%7.36M343.91%7.32M331.10%7.33M331.10%7.33M-49.17%1.5M-44.86%1.61M-43.24%1.65M-41.00%1.7M-41.00%1.7M
Total non current liabilities 60.50%407.49M5.03%266.53M4.64%265.41M406.00%259.82M406.00%259.82M367.79%253.89M347.17%253.76M321.47%253.64M-16.64%51.35M-16.64%51.35M
Total liabilities 31.16%632.56M21.54%569.13M18.53%569.48M111.14%571.44M111.14%571.44M93.31%482.29M98.18%468.27M98.03%480.46M8.43%270.65M8.43%270.65M
Shareholders'equity
Share capital 0.00%14K7.69%14K7.69%14K7.69%14K7.69%14K7.69%14K0.00%13K8.33%13K8.33%13K8.33%13K
-common stock 0.00%14K7.69%14K7.69%14K7.69%14K7.69%14K7.69%14K0.00%13K8.33%13K8.33%13K8.33%13K
Retained earnings -23.75%-808.78M-30.29%-803.27M-33.09%-780.71M-35.14%-761.42M-35.14%-761.42M-23.72%-653.56M-21.99%-616.53M-21.78%-586.62M-21.43%-563.45M-21.43%-563.45M
Paid-in capital 11.42%936.15M13.13%917.08M14.03%885.24M17.07%859.48M17.07%859.48M18.74%840.22M18.83%810.64M18.98%776.32M15.59%734.15M15.59%734.15M
Gains losses not affecting retained earnings 34.71%-1.81M25.02%-1.09M0.35%-862K-750.93%-919K-750.93%-919K-893.41%-2.77M-390.06%-1.46M-227.77%-865K-113.57%-108K-113.57%-108K
Total stockholders'equity -31.72%125.58M-41.49%112.73M-45.10%103.68M-43.05%97.16M-43.05%97.16M2.33%183.9M8.64%192.67M10.12%188.86M-0.76%170.61M-0.76%170.61M
Total equity -31.72%125.58M-41.49%112.73M-45.10%103.68M-43.05%97.16M-43.05%97.16M2.33%183.9M8.64%192.67M10.12%188.86M-0.76%170.61M-0.76%170.61M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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