DROPBOX, INC.

Annual Trend FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Net income ($111.7m) ($484.9m) ($52.7m) ($256.3m) $335.8m $553.2m $453.6m $452.3m $508.4m
Depreciation and amortization $181.8m $166.8m $173.5m $159.3m $151.4m $157.1m $170.0m $137.3m $157.4m
Amortization of debt issuance costs $600k $600k $3.8m $4.2m $4.2m $4.6m $10.0m
Amortization of deferred commissions $6.6m $12.1m $17.5m $24.4m $32.3m $39.5m $38.6m $30.3m $25.9m
Deferred taxes ($2.5m) ($37.5m) ($396.3m) $38.4m ($5.4m) $51.7m
Net (gain) loss on equity investments $0 $0 ($17.5m) $0 ($5.0m) $0 $200k ($700k)
Non-cash operating lease expense $330.3m $425.4m $528.5m $81.1m $76.3m $63.8m $43.5m $35.9m $37.6m
Operating lease liabilities ($77.4m) ($102.1m) ($86.4m) ($65.4m) ($57.0m) ($40.8m)
Proceeds from sales of equity investments $26.4m $0 $10.6m $0 $0 $1.7m
Stock-based compensation $164.6m $650.1m $261.2m $261.5m $287.1m $330.7m $338.0m $346.5m $300.8m
Net (gain) loss on real estate assets $17.7m $175.2m ($155.2m) $100k ($1.3m)
Other ($8.8m) ($6.5m) ($600k) ($800k) $0 $0 $23.9m $31.2m $2.8m
Trade and other receivables, net ($14.4m) $100k ($7.5m) ($5.5m) ($6.2m) ($5.5m) ($14.5m) ($2.4m) ($6.7m)
Prepaid expenses and other current assets ($18.2m) ($47.9m) ($18.2m) ($39.4m) ($58.4m) ($50.0m) ($41.1m) ($5.4m) ($26.2m)
Other assets ($10.6m) ($11.2m) $61.2m $62.0m $50.5m ($9.7m) $23.3m $6.4m $6.9m
Accounts payable $16.2m ($1.7m) $6.4m ($19.9m) $7.6m $13.0m $1.2m ($4.5m) ($12.6m)
Accrued and other current liabilities $34.0m $40.3m $23.0m ($9.8m) ($34.6m) $4.7m ($20.8m) ($24.7m) ($29.4m)
Accrued compensation and benefits $14.4m $25.0m $19.1m $11.7m $23.5m ($6.8m) ($22.6m) ($4.1m) $5.9m
Deferred revenue $64.3m $66.4m $68.7m $55.1m $59.8m $25.6m $21.6m $1.5m $2.0m
Other non-current liabilities ($4.4m) $12.2m ($62.4m) ($72.9m) ($109.2m) ($17.9m) ($1.5m) ($6.4m) $10.1m
Tenant improvement allowance reimbursement $0 $0 $55.3m $22.5m $5.1m $8.7m $1.1m $0 $0
Cash paid for lease termination $0 $0 ($32.0m) $0 ($28.1m) ($14.9m) ($36.0m)
Purchase of intangible assets ($800k) ($3.0m) ($1.7m) ($200k) ($6.8m) ($1.1m) ($300k) ($200k) ($400k)
Cash receipts from equipment rebates $24.8m $32.3m $17.1m
Proceeds from term loan facility $0 $0 $1.0b $500.0m
Principal payments against term loan facility $0 $0 ($11.6m)
Payments for taxes related to net share settlement of restricted stock units and awards ($87.9m) ($351.9m) ($85.4m) ($92.2m) ($124.8m) ($119.4m) ($135.1m) ($148.7m) ($151.0m)
Principal payments on finance lease obligations ($109.1m) ($92.9m) ($89.5m) ($110.4m) ($127.5m) ($126.6m) ($129.4m) ($128.6m)
Payment of acquisition-related indemnification holdback $0 $0 ($17.7m) ($4.1m)
Restricted cash, non-current, included in other assets $0 $0 $31.1m $14.6m
Interest $10.8m $8.3m $9.8m $9.6m $8.5m $8.2m $10.5m $15.2m $105.9m
Income taxes $3.4m $1.4m $600k $5.0m $4.2m $27.6m $68.2m $61.0m $56.9m
Property and equipment acquired under finance leases $44.9m $98.5m $144.1m $145.8m $127.3m $105.8m $144.7m $171.6m $147.3m
Net cash provided by operating activities $330.3m $425.4m $528.5m $570.8m $729.8m $797.3m $783.7m $894.1m $951.8m
Capital expenditures ($25.3m) ($63.0m) ($136.1m) ($80.1m) ($22.1m) ($33.8m) ($24.3m) ($22.5m) ($21.0m)
Business combinations, net of cash acquired $0 $0 ($173.9m) $0 ($140.0m) ($75.4m) $0 ($57.8m) ($13.1m)
Purchases of short-term investments $0 ($850.4m) ($775.4m) ($756.1m) ($1.1b) ($571.2m) ($208.7m) ($62.3m) $0
Proceeds from sales of short-term investments $0 $212.4m $294.8m $386.7m $448.7m $213.7m $352.4m $241.7m $0
Proceeds from maturities of short-term investments $0 $71.2m $456.1m $198.8m $293.6m $389.1m $252.2m $313.7m $124.8m
Net cash provided by investing activities ($23.9m) ($633.8m) ($320.0m) ($233.6m) ($524.8m) ($48.5m) $395.2m $443.8m $111.9m
Payments of debt issuance costs and loan commitment fees $0 $0 ($23.7m) $0 ($100k) ($50.1m) ($21.6m)
Proceeds from issuance of common stock, net of taxes withheld $500k $26.2m $2.2m $2.3m $6.9m $500k $2.5m $900k $100k
Common stock repurchases $0 $0 ($397.5m) ($1.1b) ($795.4m) ($539.9m) ($1.2b) ($1.7b)
Net cash used in financing activities ($231.7m) $300.8m ($176.7m) ($577.7m) $16.2m ($1.0b) ($799.2m) ($586.6m) ($1.5b)
Effect of exchange rate changes on cash, cash equivalents, and restricted cash $2.6m ($3.1m) $200k $4.1m ($3.1m) ($7.2m) $2.4m ($5.7m) $12.4m
Change in cash, cash equivalents, and restricted cash $77.3m $89.3m $32.0m ($236.4m) $218.1m ($300.2m) $382.1m $745.6m ($454.6m)
Cash, cash equivalents, and restricted cash - beginning of period $430.0m $519.3m $551.3m $314.9m $533.0m $232.8m $614.9m $1.4b $905.9m
Cash and cash equivalents $430.0m $519.3m $232.8m $614.9m $1.3b $891.3m
Restricted cash, current, included in prepaid expenses and other current assets $0 $0 $1.1m $0

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.