◆ Market Data --:--
Commodities
Loading...
📈 Yields & Rates
Loading...
💱 FX Rates
Loading...
📈 Market Pulse
Loading...
🏛 Congress Trades
Loading...
👤 Insider Trades
Loading...

ASANA, INC.

CIK: 1477720 SIC: 7372 SAN FRANCISCO, CA
Loading stock data...
Key Financial Metrics (TTM | FY 2024)
$773.57M
Revenue
$-219.11M
Net Income
-0.93
EPS (Diluted)
$125.31M
Free Cash Flow
Profitability
Gross Margin 89.48%
Operating Margin -29.34%
Net Profit Margin -28.32%
EBITDA $-226.94M
Returns & Efficiency
Return on Assets (ROA) -26.07%
Return on Equity (ROE) -116.32%
Gross Profit $692.21M
Operating Income $-226.94M
Financial Health
Total Assets $840.43M
Total Debt -
Debt to Equity 3.46x
Current Ratio 1.40
Debt Analysis
Debt to EBITDA -
Debt to Free Cash Flow -
Cash & Equivalents -
Net Debt -
Capital Returns
Return on Invested Capital (ROIC) -
Invested Capital -
Stockholders Equity -
Revenue Growth -
Market Valuation
Market Cap -
P/E Ratio -
Price to Book -
EPS (Diluted) $-0.93
Quick Access Filings
10-K
Annual Report

Loading...

10-Q
Quarterly Report

Loading...

8-K
Recent News

Loading...

Company Data Library
Earnings Transcripts
Loading...
Press Releases
Loading...
Filing Sections
Loading...
Financial Charts Annual (10-K)
Interactive financial visualizations
Show:
Revenue & Income Trends
Revenue & Profit
Profit Margins
Balance Sheet Breakdown
Assets Composition
Capital Structure
Cash Flow Analysis
Cash Flow Components
Free Cash Flow
Growth & Performance
Revenue Growth Rate (YoY %)
Key Ratio Trends
Insider Transactions
Neutral Open Market Buys: - Open Market Sales: - Option Exercise & Sale: - Net: -
Loading...
Loading insider transactions...
My Notes & Files
Personal Notes
Attached Files
Loading...
SEC Filings by Category
Insider Trading Activity
Neutral 0 Buys $0 0 Sales $0 0 Exercises $0 Net: $0
Insider Title Date Type Shares Price Value
Company Information
Business Address 633 FOLSOM STREET
SUITE 100
SAN FRANCISCO, CA 94107
Phone (415) 525-3888
Incorporated DE, US
EIN 263912448
Fiscal Year End 0131
Shares Outstanding 237.79M
Stockholders' Equity $188.36M
Cash & Equivalents $183.47M
Recent Filings View All
144 Proposed Sale Notice
Notice of proposed sale of securities
Filed: 2026-03-10
Local
8-K/A Amended Current Report
Amendment to current report
Filed: 2026-03-02
Local
8-K Current Report
Report of material events (acquisitions, earnings, executive changes)
Filed: 2026-03-02
Local
8-K Current Report
Report of material events (acquisitions, earnings, executive changes)
Filed: 2026-03-02
Local
SCHEDULE 13G/A Amended Schedule 13G
Amendment to Schedule 13G
Filed: 2026-02-13
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-12-02
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-09-03
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-06-03
Local
DEF 14A Definitive Proxy Statement
Official proxy statement for shareholder voting
Filed: 2025-04-30
Local
10-K Annual Report
Comprehensive annual financial report with audited statements
Filed: 2025-03-18
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-12-05
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-09-03
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-05-30
Local
DEF 14A Definitive Proxy Statement
Official proxy statement for shareholder voting
Filed: 2024-05-03
Local
10-K Annual Report
Comprehensive annual financial report with audited statements
Filed: 2024-03-14
Local
Financial Statistics
Valuation
Market Cap -
P/E Ratio (TTM) -
Price to Book -
EV/Revenue -
EV/EBITDA -
Profitability
Gross Margin 89.5%
Operating Margin -29.3%
Net Margin -28.3%
ROE -116.3%
ROA -26.1%
Leverage & Liquidity
Debt to Equity 3.46
Current Ratio 1.40
Total Debt -
Total Assets $840.43M
Stockholders' Equity $188.36M
Income Statement (FY 2024)
Revenue $773.57M
Gross Profit $692.21M
Operating Income $-226.94M
Net Income $-219.11M
EPS (Diluted) $-0.93
Cash Flow (FY 2024)
Free Cash Flow $125.31M
Cash & Equivalents $183.47M
Revenue Growth 6.9%
Loading...

Loading management data...

Loading...

Loading board of directors...

Loading...

Loading institutional holders...

NEWS
Loading news...
TRENDING
Loading...