7Baggers
Quarterly
Annual
    Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 
      
                        
      assets
                        
      current assets:
                        
      cash and cash equivalents
    929,547,000 993,464,000 2,098,524,000 768,710,000 512,659,000 520,388,000 831,047,000 1,040,310,000 1,055,923,000 1,264,738,000 2,598,540,000 2,411,290,000 2,358,393,000 2,269,411,000 2,290,674,000 2,335,068,000 2,341,156,000 2,339,437,000 2,011,323,000 1,800,190,000 
      marketable securities
    5,070,875,000 4,437,225,000 3,131,463,000 3,795,949,000 3,485,800,000 3,347,512,000 2,843,132,000 2,243,264,000 2,047,329,000 1,639,797,000 35,135,000 57,342,000 99,210,000 252,563,000 234,153,000 148,077,000     
      accounts receivable
    747,484,000 725,205,000 575,048,000 668,110,000 659,339,000 486,986,000 364,784,000 430,269,000 375,756,000 254,041,000 258,346,000 343,264,000 265,826,000 256,554,000 190,923,000 174,405,000 242,998,000 151,400,000 156,932,000 162,269,000 
      prepaid expenses and other current assets
    142,487,000 126,705,000 129,254,000 119,193,000 115,712,000 81,178,000 99,655,000 95,554,000 97,906,000 85,625,000 133,312,000 114,157,000 150,885,000 115,042,000 110,872,000 112,624,000 41,648,000 61,755,000 51,889,000 388,165,000 
      total current assets
    6,890,393,000 6,282,599,000 5,934,289,000 5,351,962,000 4,773,510,000 4,436,064,000 4,138,618,000 3,809,397,000 3,576,914,000 3,256,147,000 3,041,577,000 2,946,610,000 2,902,439,000 2,927,374,000 2,863,250,000 2,811,490,000 2,662,552,000 2,589,698,000 2,257,429,000 2,394,424,000 
      property and equipment
    43,523,000 39,669,000 39,638,000 40,345,000 43,483,000 46,906,000 47,758,000 50,133,000 54,097,000 63,115,000 69,170,000 57,822,000 47,644,000 41,866,000 31,304,000 28,778,000 24,824,000 27,378,000 29,541,000 29,369,000 
      operating lease right-of-use assets
    203,474,000 209,348,000 200,740,000 211,570,000 213,453,000 173,707,000 182,863,000 190,191,000 199,661,000 210,019,000 200,240,000 199,359,000 211,410,000 224,888,000 216,898,000 220,846,000 209,243,000 213,331,000 217,075,000  
      other assets
    228,298,000 205,301,000 166,217,000 164,220,000 161,434,000 150,402,000 153,186,000 143,696,000 149,592,000 141,762,000 137,701,000 94,142,000 92,198,000 95,829,000 96,386,000 116,422,000 117,135,000 111,845,000 106,921,000 93,576,000 
      total assets
    7,365,688,000 6,736,917,000 6,340,884,000 5,768,097,000 5,191,880,000 4,807,079,000 4,522,425,000 4,193,417,000 3,980,264,000 3,683,138,000 3,461,239,000 3,318,835,000 3,282,338,000 3,319,179,000 3,247,450,000 3,224,327,000 3,075,668,000 3,014,185,000 2,690,504,000 2,603,712,000 
      liabilities and equity
                        
      current liabilities:
                        
      accounts payable
    10,774,000 2,330,000 103,000 27,021,000 67,345,000 35,634,000 12,122,000 9,475,000 4,613,000 4,530,000 44,788,000 59,507,000 56,798,000 27,454,000 74,907,000 17,654,000 30,914,000 17,234,000 16,358,000 22,221,000 
      accrued liabilities
    393,623,000 371,061,000 427,046,000 265,244,000 195,489,000 206,034,000 222,991,000 174,753,000 184,617,000 174,525,000 172,715,000 164,697,000 187,568,000 150,176,000 155,806,000 179,467,000 166,252,000 181,603,000 158,546,000 466,999,000 
      deferred revenue
    376,784,000 318,556,000 259,624,000 236,608,000 278,441,000 237,195,000 246,901,000 223,507,000 260,335,000 229,551,000 183,350,000 189,771,000 219,441,000 218,521,000 227,816,000 208,100,000 194,511,000 186,498,000 189,520,000 172,066,000 
      customer deposits
    262,994,000 231,077,000 265,252,000 366,946,000 221,519,000 217,634,000 209,828,000 228,986,000 183,964,000 139,741,000 141,989,000 234,142,000 161,026,000 232,908,000 161,605,000 232,707,000 257,747,000 250,181,000 210,320,000 280,901,000 
      operating lease liabilities
    45,465,000 44,419,000 43,993,000 47,637,000 44,125,000 54,056,000 54,176,000 52,204,000 51,855,000 53,066,000 45,099,000 40,233,000 40,909,000 40,045,000 39,927,000 43,581,000 33,162,000 32,110,000 29,079,000  
      total current liabilities
    1,089,640,000 967,443,000 996,018,000 943,456,000 806,919,000 750,553,000 746,018,000 688,925,000 685,384,000 601,413,000 587,941,000 688,350,000 665,742,000 669,104,000 660,061,000 681,509,000 682,586,000 667,626,000 603,823,000 942,187,000 
      deferred revenue, noncurrent
    44,638,000 36,372,000 39,885,000 7,825,000 15,649,000 20,722,000 28,047,000 34,880,000 50,408,000 54,400,000 9,965,000 31,383,000 34,143,000 33,244,000 40,217,000 26,723,000 40,518,000 44,998,000 50,525,000 67,064,000 
      customer deposits, noncurrent
    1,491,000 1,463,000 1,663,000 3,681,000 1,527,000 1,651,000 1,477,000 2,234,000 3,099,000 4,162,000 3,936,000 5,533,000 15,412,000 22,276,000 33,699,000 42,734,000 62,732,000 70,768,000 81,513,000 102,231,000 
      operating lease liabilities, noncurrent
    192,347,000 200,177,000 195,226,000 207,278,000 214,334,000 163,013,000 175,216,000 184,067,000 194,134,000 206,422,000 204,305,000 204,903,000 216,059,000 227,617,000 220,146,000 219,646,000 216,630,000 222,429,000 229,800,000  
      other noncurrent liabilities
    12,008,000 12,489,000 13,685,000 14,495,000 15,645,000 9,968,000 10,702,000 11,414,000 12,101,000 13,548,000 12,655,000 2,051,000 2,158,000 2,192,000 2,297,000 5,659,000 4,239,000 4,236,000 4,316,000 42,724,000 
      total liabilities
    1,340,124,000 1,217,944,000 1,246,477,000 1,176,735,000 1,054,074,000 945,907,000 961,460,000 921,520,000 945,126,000 879,945,000 818,802,000 932,220,000 933,514,000 954,433,000 956,420,000 976,271,000 1,006,705,000 1,208,242,000 1,167,954,000 1,351,959,000 
      commitments and contingencies
                        
      palantir's stockholders’ equity:
                        
      common stock
    2,372,000 2,360,000 2,339,000 2,270,000 2,238,000 2,227,000 2,200,000 2,174,000 2,149,000 2,117,000 2,099,000 2,080,000 2,063,000 2,046,000 2,027,000 1,991,000 1,937,000 1,860,000 1,792,000 1,727,000 
      additional paid-in capital
    10,568,473,000 10,398,181,000 10,193,970,000 9,757,380,000 9,463,178,000 9,322,803,000 9,122,173,000 8,938,050,000 8,773,043,000 8,568,570,000 8,427,998,000 8,284,686,000 8,119,876,000 7,953,856,000 7,777,085,000 7,577,305,000 7,294,369,000 6,892,046,000 6,488,857,000 6,065,869,000 
      accumulated other comprehensive income
    4,721,000 -2,994,000 -5,611,000 4,925,000 -4,935,000 -5,720,000 801,000          65,000 865,000  1,168,000 
      accumulated deficit
    -4,646,665,000 -4,973,392,000 -5,187,423,000 -5,266,432,000 -5,409,957,000 -5,544,083,000 -5,649,613,000 -5,743,004,000 -5,814,509,000 -5,842,636,000 -5,859,438,000 -5,890,316,000 -5,766,441,000 -5,587,112,000 -5,485,733,000 -5,329,545,000 -5,227,408,000 -5,088,828,000 -4,965,354,000 -4,817,011,000 
      total palantir's stockholders’ equity
    5,928,901,000 5,424,155,000 5,003,275,000                  
      noncontrolling interests
    96,663,000 94,818,000 91,132,000 93,219,000 87,282,000 85,945,000 85,404,000 81,882,000 79,664,000 79,460,000 77,111,000          
      total equity
    6,025,564,000 5,518,973,000 5,094,407,000 4,591,362,000 4,137,806,000 3,861,172,000 3,560,965,000 3,271,897,000 3,035,138,000 2,803,193,000 2,642,437,000          
      total liabilities and equity
    7,365,688,000 6,736,917,000 6,340,884,000 5,768,097,000 5,191,880,000 4,807,079,000 4,522,425,000 4,193,417,000 3,980,264,000 3,683,138,000 3,461,239,000 3,318,835,000 3,282,338,000 3,319,179,000 3,247,450,000 3,224,327,000 3,075,668,000 3,014,185,000   
      stockholders’ equity:
                        
      total stockholders’ equity
       4,498,143,000 4,050,524,000 3,775,227,000 3,475,561,000 3,190,015,000 2,955,474,000 2,723,733,000 2,565,326,000 2,386,615,000 2,348,824,000 2,364,746,000 2,291,030,000 2,248,056,000 2,068,963,000 1,805,943,000 1,522,550,000 1,251,753,000 
      liabilities and stockholders' equity
                        
      accumulated other comprehensive loss
           -7,205,000 -5,209,000 -4,318,000 -5,333,000 -9,835,000 -6,674,000 -4,044,000 -2,349,000 -1,695,000   -2,745,000  
      restricted cash
             11,946,000 16,244,000 20,557,000 28,125,000 33,804,000 36,628,000 41,316,000 36,750,000 37,106,000 37,285,000 43,800,000 
      restricted cash, noncurrent
             12,095,000 12,551,000 20,902,000 28,647,000 29,222,000 39,612,000 46,791,000 61,914,000 71,933,000 79,538,000 86,343,000 
      liabilities and stockholders’ equity
                        
      debt, noncurrent
                     198,185,000 197,977,000 197,753,000 
      preferred stock, 0.001 par value: 2,000,000 shares authorized and 0 shares issued and outstanding as of december 31, 2021 and 2020
                        
      preferred stock, par value 0.001: 2,000,000 shares authorized and 0 issued and outstanding as of september 30, 2021 and december 31, 2020
                        
      preferred stock, par value 0.001: 2,000,000 shares authorized and 0 issued and outstanding as of june 30, 2021 and december 31, 2020
                        
      preferred stock, par value 0.001: 2,000,000 shares authorized and 0 issued and outstanding as of march 31, 2021 and december 31, 2020
                        
      liabilities, redeemable convertible and convertible preferred stock, and stockholders’ equity
                        
      redeemable convertible preferred stock
                        
      convertible preferred stock, 0.001 par value: 0 and 877,442,966 shares authorized as of december 31, 2020 and 2019, respectively; 0 and 742,839,990 shares issued and outstanding as of december 31, 2020 and 2019, respectively
                        
      stockholders’ equity
                        
      preferred stock, 0.001 par value: 2,000,000,000 and 0 shares authorized, issued and outstanding as of december 31, 2020 and 2019
                        
      treasury stock
                        
      total liabilities, redeemable convertible and convertible preferred stock, and stockholders’ equity
                      2,690,504,000 2,603,712,000 
      convertible preferred stock, 0.001 par value: 0 and 877,442,966 shares authorized as of september 30, 2020 and december 31, 2019, respectively; 0 and 742,839,990 shares issued and outstanding as of september 30, 2020 and december 31, 2019, respectively; aggregate liquidation preference of 0 and 2,102,556 as of september 30, 2020 and december 31, 2019, respectively
                        
      preferred stock, par value 0.001: 2,000,000,000 and 0 shares authorized as of september 30, 2020 and december 31, 2019, respectively; 0 shares issued and outstanding as of september 30, 2020 and december 31, 2019
                        
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.