US Stock MarketDetailed Quotes

GWRE Guidewire Software

Watchlist
  • 177.970
  • +1.210+0.68%
Close Sep 27 16:00 ET
  • 177.940
  • -0.030-0.02%
Post 20:01 ET
14.78BMarket Cap-2542428P/E (TTM)

Guidewire Software Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
(Q1)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
25.65%1B
25.65%1B
13.74%782.29M
8.80%777.62M
1.10%712.95M
-18.18%798.69M
-18.18%798.69M
-14.87%687.82M
-12.85%714.73M
-16.23%705.19M
-Cash and cash equivalents
36.38%547.99M
36.38%547.99M
34.88%359.6M
27.32%349.99M
14.54%301.42M
-33.73%401.81M
-33.73%401.81M
-18.43%266.62M
6.81%274.9M
9.83%263.16M
-Short-term investments
14.79%455.58M
14.79%455.58M
0.35%422.69M
-2.77%427.63M
-6.90%411.53M
7.30%396.87M
7.30%396.87M
-12.45%421.2M
-21.84%439.83M
-26.59%442.02M
Receivables
-5.58%242.18M
-5.58%242.18M
-10.64%229.88M
-3.83%219.21M
13.02%202.31M
12.77%256.49M
12.77%256.49M
27.82%257.23M
16.28%227.94M
0.16%179.02M
-Accounts receivable
-9.07%137.34M
-9.07%137.34M
-19.16%104.34M
0.48%128.24M
5.45%93.08M
5.03%151.03M
5.03%151.03M
50.60%129.07M
14.25%127.63M
9.78%88.27M
-Other receivables
-0.58%104.84M
-0.58%104.84M
-2.06%125.53M
-9.32%90.97M
20.38%109.23M
26.06%105.45M
26.06%105.45M
10.92%128.17M
18.97%100.31M
-7.71%90.74M
Prepaid assets
18.52%25.79M
18.52%25.79M
----
----
----
-10.35%21.76M
-10.35%21.76M
----
----
----
Current deferred assets
5.85%24M
5.85%24M
----
----
----
-8.63%22.67M
-8.63%22.67M
----
----
----
Other current assets
----
----
12.84%69.35M
0.33%63.8M
3.68%61.54M
----
----
--61.45M
310.87%63.59M
--59.36M
Total current assets
17.82%1.3B
17.82%1.3B
7.45%1.08B
5.40%1.06B
3.52%976.8M
-12.22%1.1B
-12.22%1.1B
-4.71%1.01B
-6.62%1.01B
-12.69%943.56M
Non current assets
Net PPE
-7.22%99.16M
-7.22%99.16M
3.03%101.29M
-36.94%103.44M
-36.17%105.68M
-37.51%106.87M
-37.51%106.87M
-42.00%98.32M
-5.45%164.02M
-6.64%165.56M
-Gross PPE
5.75%164.89M
5.75%164.89M
-30.37%101.29M
-36.94%103.44M
-36.17%105.68M
-31.42%155.93M
-31.42%155.93M
-34.57%145.47M
-26.10%164.02M
-28.50%165.56M
-Accumulated depreciation
-33.99%-65.73M
-33.99%-65.73M
----
----
----
12.94%-49.06M
12.94%-49.06M
10.71%-47.15M
----
----
Goodwill and other intangible assets
-1.41%381.22M
-1.41%381.22M
-1.41%382.59M
-1.40%383.95M
-1.40%385.32M
-1.74%386.69M
-1.74%386.69M
-2.09%388.05M
-2.64%389.42M
-3.21%390.79M
-Goodwill
0.00%372.21M
0.00%372.21M
0.00%372.21M
0.00%372.21M
0.00%372.21M
0.01%372.21M
0.01%372.21M
0.01%372.21M
0.04%372.21M
0.04%372.21M
-Other intangible assets
-37.78%9.01M
-37.78%9.01M
-34.52%10.37M
-31.78%11.74M
-29.44%13.11M
-32.25%14.47M
-32.25%14.47M
-34.40%15.84M
-38.37%17.21M
-41.38%18.57M
Investments and advances
-5.28%148.29M
-5.28%148.29M
27.53%151.89M
-0.16%155.06M
-13.89%140.64M
-23.83%156.55M
-23.83%156.55M
-59.65%119.1M
-49.51%155.31M
-45.81%163.34M
Non current accounts receivable
-62.59%4.16M
-62.59%4.16M
-49.88%7.29M
-53.38%6.8M
-55.15%6.88M
-20.14%11.11M
-20.14%11.11M
-17.50%14.54M
-25.88%14.58M
-32.22%15.35M
Non current deferred assets
12.54%294.73M
12.54%294.73M
10.85%255.55M
11.50%243.42M
9.62%239.82M
17.90%261.88M
17.90%261.88M
7.36%230.53M
10.49%218.31M
18.51%218.77M
Non current prepaid assets
3.28%3.21M
3.28%3.21M
----
----
----
0.84%3.11M
0.84%3.11M
----
----
----
Other non current assets
----
----
0.71%59.91M
7.44%60.22M
25.99%64.45M
-58.34%2.07M
-58.34%2.07M
1,095.46%59.49M
1,026.41%56.05M
928.03%51.16M
Total non current assets
0.27%930.76M
0.27%930.76M
5.33%958.51M
-4.49%952.89M
-6.18%942.8M
-8.47%928.29M
-8.47%928.29M
-17.35%910.02M
-9.80%997.68M
-8.45%1B
Total assets
9.78%2.23B
9.78%2.23B
6.44%2.04B
0.48%2.01B
-1.48%1.92B
-10.54%2.03B
-10.54%2.03B
-11.16%1.92B
-8.23%2B
-10.55%1.95B
Liabilities
Current liabilities
Payables
-44.05%21.7M
-44.05%21.7M
-33.91%23.51M
-42.15%22M
-53.88%19.21M
-17.49%38.79M
-17.49%38.79M
10.37%35.58M
33.95%38.03M
34.83%41.65M
-accounts payable
-56.08%15.21M
-56.08%15.21M
-33.91%23.51M
-42.15%22M
-53.88%19.21M
-14.37%34.63M
-14.37%34.63M
17.59%35.58M
54.19%38.03M
52.03%41.65M
-Total tax payable
56.13%6.49M
56.13%6.49M
----
----
----
-36.67%4.16M
-36.67%4.16M
----
----
----
Current accrued expenses
24.93%7.87M
24.93%7.87M
----
----
----
-40.42%6.3M
-40.42%6.3M
----
----
----
Current debt and capital lease obligation
4,740.48%408.2M
4,740.48%408.2M
--398.47M
----
----
-31.09%8.43M
-31.09%8.43M
----
----
----
-Current debt
--398.9M
--398.9M
--398.47M
----
----
----
----
----
----
----
-Current capital lease obligation
10.22%9.3M
10.22%9.3M
----
----
----
-31.09%8.43M
-31.09%8.43M
----
----
----
Current deferred liabilities
36.21%281.86M
36.21%281.86M
26.85%181.69M
33.65%195.08M
24.40%171.1M
21.17%206.92M
21.17%206.92M
28.24%143.23M
18.44%145.96M
24.63%137.55M
Other current liabilities
0.97%8.93M
0.97%8.93M
2.18%24.6M
-17.59%27.33M
-16.52%25.38M
48.28%8.84M
48.28%8.84M
461.95%24.07M
499.04%33.16M
654.48%30.4M
Current liabilities
124.41%837.64M
124.41%837.64M
155.90%704.81M
11.58%307.08M
3.80%262.38M
10.59%373.26M
10.59%373.26M
16.17%275.43M
19.06%275.21M
23.80%252.76M
Non current liabilities
Long term debt and capital lease obligation
-92.11%34.72M
-92.11%34.72M
-91.43%37.12M
-11.76%437.11M
-11.69%438.47M
-5.01%440.14M
-5.01%440.14M
-5.87%433.26M
7.72%495.36M
8.02%496.51M
-Long term debt
----
----
----
0.43%398.03M
0.43%397.6M
10.87%397.17M
10.87%397.17M
11.90%396.74M
12.94%396.32M
13.97%395.89M
-Long term capital lease obligation
-19.20%34.72M
-19.20%34.72M
1.65%37.12M
-60.55%39.07M
-59.38%40.87M
-59.12%42.97M
-59.12%42.97M
-65.46%36.52M
-9.08%99.05M
-10.41%100.61M
Non current deferred liabilities
-39.41%3.63M
-39.41%3.63M
-43.57%3.21M
-32.38%4.07M
-45.28%3.92M
-20.16%5.99M
-20.16%5.99M
49.33%5.69M
6.55%6.02M
21.42%7.16M
Other non current liabilities
-16.08%7.58M
-16.08%7.58M
35.22%9.52M
27.41%9.15M
32.67%9.19M
31.19%9.03M
31.19%9.03M
8.36%7.04M
10.64%7.18M
-32.50%6.92M
Total non current liabilities
-89.91%45.93M
-89.91%45.93M
-88.82%49.85M
-11.45%450.33M
-11.56%451.57M
-4.72%455.16M
-4.72%455.16M
-5.23%445.99M
7.75%508.57M
7.31%510.58M
Total liabilities
6.66%883.56M
6.66%883.56M
4.61%754.66M
-3.36%757.41M
-6.47%713.95M
1.62%828.42M
1.62%828.42M
1.94%721.42M
11.47%783.78M
12.26%763.35M
Shareholders'equity
Share capital
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
-common stock
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
0.00%8K
Retained earnings
-0.99%-624.05M
-0.99%-624.05M
-9.66%-640.81M
-31.59%-635.33M
-36.19%-645.02M
-117.60%-617.95M
-117.60%-617.95M
-131.01%-584.36M
-146.94%-482.8M
-229.72%-473.61M
Paid-in capital
8.07%1.98B
8.07%1.98B
8.14%1.94B
10.75%1.9B
10.98%1.87B
4.32%1.83B
4.32%1.83B
4.26%1.79B
1.84%1.72B
2.00%1.68B
Gains losses not affecting retained earnings
11.65%-12.24M
11.65%-12.24M
3.68%-14.52M
22.58%-12.43M
29.87%-16.81M
30.16%-13.86M
30.16%-13.86M
19.15%-15.08M
-33.69%-16.06M
-209.56%-23.96M
Total stockholders'equity
11.94%1.34B
11.94%1.34B
7.55%1.29B
2.95%1.26B
1.73%1.21B
-17.37%1.2B
-17.37%1.2B
-17.56%1.2B
-17.58%1.22B
-20.90%1.19B
Total equity
11.94%1.34B
11.94%1.34B
7.55%1.29B
2.95%1.26B
1.73%1.21B
-17.37%1.2B
-17.37%1.2B
-17.56%1.2B
-17.58%1.22B
-20.90%1.19B
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
--
--
--
--
(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023(Q1)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 25.65%1B25.65%1B13.74%782.29M8.80%777.62M1.10%712.95M-18.18%798.69M-18.18%798.69M-14.87%687.82M-12.85%714.73M-16.23%705.19M
-Cash and cash equivalents 36.38%547.99M36.38%547.99M34.88%359.6M27.32%349.99M14.54%301.42M-33.73%401.81M-33.73%401.81M-18.43%266.62M6.81%274.9M9.83%263.16M
-Short-term investments 14.79%455.58M14.79%455.58M0.35%422.69M-2.77%427.63M-6.90%411.53M7.30%396.87M7.30%396.87M-12.45%421.2M-21.84%439.83M-26.59%442.02M
Receivables -5.58%242.18M-5.58%242.18M-10.64%229.88M-3.83%219.21M13.02%202.31M12.77%256.49M12.77%256.49M27.82%257.23M16.28%227.94M0.16%179.02M
-Accounts receivable -9.07%137.34M-9.07%137.34M-19.16%104.34M0.48%128.24M5.45%93.08M5.03%151.03M5.03%151.03M50.60%129.07M14.25%127.63M9.78%88.27M
-Other receivables -0.58%104.84M-0.58%104.84M-2.06%125.53M-9.32%90.97M20.38%109.23M26.06%105.45M26.06%105.45M10.92%128.17M18.97%100.31M-7.71%90.74M
Prepaid assets 18.52%25.79M18.52%25.79M-------------10.35%21.76M-10.35%21.76M------------
Current deferred assets 5.85%24M5.85%24M-------------8.63%22.67M-8.63%22.67M------------
Other current assets --------12.84%69.35M0.33%63.8M3.68%61.54M----------61.45M310.87%63.59M--59.36M
Total current assets 17.82%1.3B17.82%1.3B7.45%1.08B5.40%1.06B3.52%976.8M-12.22%1.1B-12.22%1.1B-4.71%1.01B-6.62%1.01B-12.69%943.56M
Non current assets
Net PPE -7.22%99.16M-7.22%99.16M3.03%101.29M-36.94%103.44M-36.17%105.68M-37.51%106.87M-37.51%106.87M-42.00%98.32M-5.45%164.02M-6.64%165.56M
-Gross PPE 5.75%164.89M5.75%164.89M-30.37%101.29M-36.94%103.44M-36.17%105.68M-31.42%155.93M-31.42%155.93M-34.57%145.47M-26.10%164.02M-28.50%165.56M
-Accumulated depreciation -33.99%-65.73M-33.99%-65.73M------------12.94%-49.06M12.94%-49.06M10.71%-47.15M--------
Goodwill and other intangible assets -1.41%381.22M-1.41%381.22M-1.41%382.59M-1.40%383.95M-1.40%385.32M-1.74%386.69M-1.74%386.69M-2.09%388.05M-2.64%389.42M-3.21%390.79M
-Goodwill 0.00%372.21M0.00%372.21M0.00%372.21M0.00%372.21M0.00%372.21M0.01%372.21M0.01%372.21M0.01%372.21M0.04%372.21M0.04%372.21M
-Other intangible assets -37.78%9.01M-37.78%9.01M-34.52%10.37M-31.78%11.74M-29.44%13.11M-32.25%14.47M-32.25%14.47M-34.40%15.84M-38.37%17.21M-41.38%18.57M
Investments and advances -5.28%148.29M-5.28%148.29M27.53%151.89M-0.16%155.06M-13.89%140.64M-23.83%156.55M-23.83%156.55M-59.65%119.1M-49.51%155.31M-45.81%163.34M
Non current accounts receivable -62.59%4.16M-62.59%4.16M-49.88%7.29M-53.38%6.8M-55.15%6.88M-20.14%11.11M-20.14%11.11M-17.50%14.54M-25.88%14.58M-32.22%15.35M
Non current deferred assets 12.54%294.73M12.54%294.73M10.85%255.55M11.50%243.42M9.62%239.82M17.90%261.88M17.90%261.88M7.36%230.53M10.49%218.31M18.51%218.77M
Non current prepaid assets 3.28%3.21M3.28%3.21M------------0.84%3.11M0.84%3.11M------------
Other non current assets --------0.71%59.91M7.44%60.22M25.99%64.45M-58.34%2.07M-58.34%2.07M1,095.46%59.49M1,026.41%56.05M928.03%51.16M
Total non current assets 0.27%930.76M0.27%930.76M5.33%958.51M-4.49%952.89M-6.18%942.8M-8.47%928.29M-8.47%928.29M-17.35%910.02M-9.80%997.68M-8.45%1B
Total assets 9.78%2.23B9.78%2.23B6.44%2.04B0.48%2.01B-1.48%1.92B-10.54%2.03B-10.54%2.03B-11.16%1.92B-8.23%2B-10.55%1.95B
Liabilities
Current liabilities
Payables -44.05%21.7M-44.05%21.7M-33.91%23.51M-42.15%22M-53.88%19.21M-17.49%38.79M-17.49%38.79M10.37%35.58M33.95%38.03M34.83%41.65M
-accounts payable -56.08%15.21M-56.08%15.21M-33.91%23.51M-42.15%22M-53.88%19.21M-14.37%34.63M-14.37%34.63M17.59%35.58M54.19%38.03M52.03%41.65M
-Total tax payable 56.13%6.49M56.13%6.49M-------------36.67%4.16M-36.67%4.16M------------
Current accrued expenses 24.93%7.87M24.93%7.87M-------------40.42%6.3M-40.42%6.3M------------
Current debt and capital lease obligation 4,740.48%408.2M4,740.48%408.2M--398.47M---------31.09%8.43M-31.09%8.43M------------
-Current debt --398.9M--398.9M--398.47M----------------------------
-Current capital lease obligation 10.22%9.3M10.22%9.3M-------------31.09%8.43M-31.09%8.43M------------
Current deferred liabilities 36.21%281.86M36.21%281.86M26.85%181.69M33.65%195.08M24.40%171.1M21.17%206.92M21.17%206.92M28.24%143.23M18.44%145.96M24.63%137.55M
Other current liabilities 0.97%8.93M0.97%8.93M2.18%24.6M-17.59%27.33M-16.52%25.38M48.28%8.84M48.28%8.84M461.95%24.07M499.04%33.16M654.48%30.4M
Current liabilities 124.41%837.64M124.41%837.64M155.90%704.81M11.58%307.08M3.80%262.38M10.59%373.26M10.59%373.26M16.17%275.43M19.06%275.21M23.80%252.76M
Non current liabilities
Long term debt and capital lease obligation -92.11%34.72M-92.11%34.72M-91.43%37.12M-11.76%437.11M-11.69%438.47M-5.01%440.14M-5.01%440.14M-5.87%433.26M7.72%495.36M8.02%496.51M
-Long term debt ------------0.43%398.03M0.43%397.6M10.87%397.17M10.87%397.17M11.90%396.74M12.94%396.32M13.97%395.89M
-Long term capital lease obligation -19.20%34.72M-19.20%34.72M1.65%37.12M-60.55%39.07M-59.38%40.87M-59.12%42.97M-59.12%42.97M-65.46%36.52M-9.08%99.05M-10.41%100.61M
Non current deferred liabilities -39.41%3.63M-39.41%3.63M-43.57%3.21M-32.38%4.07M-45.28%3.92M-20.16%5.99M-20.16%5.99M49.33%5.69M6.55%6.02M21.42%7.16M
Other non current liabilities -16.08%7.58M-16.08%7.58M35.22%9.52M27.41%9.15M32.67%9.19M31.19%9.03M31.19%9.03M8.36%7.04M10.64%7.18M-32.50%6.92M
Total non current liabilities -89.91%45.93M-89.91%45.93M-88.82%49.85M-11.45%450.33M-11.56%451.57M-4.72%455.16M-4.72%455.16M-5.23%445.99M7.75%508.57M7.31%510.58M
Total liabilities 6.66%883.56M6.66%883.56M4.61%754.66M-3.36%757.41M-6.47%713.95M1.62%828.42M1.62%828.42M1.94%721.42M11.47%783.78M12.26%763.35M
Shareholders'equity
Share capital 0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K
-common stock 0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K0.00%8K
Retained earnings -0.99%-624.05M-0.99%-624.05M-9.66%-640.81M-31.59%-635.33M-36.19%-645.02M-117.60%-617.95M-117.60%-617.95M-131.01%-584.36M-146.94%-482.8M-229.72%-473.61M
Paid-in capital 8.07%1.98B8.07%1.98B8.14%1.94B10.75%1.9B10.98%1.87B4.32%1.83B4.32%1.83B4.26%1.79B1.84%1.72B2.00%1.68B
Gains losses not affecting retained earnings 11.65%-12.24M11.65%-12.24M3.68%-14.52M22.58%-12.43M29.87%-16.81M30.16%-13.86M30.16%-13.86M19.15%-15.08M-33.69%-16.06M-209.56%-23.96M
Total stockholders'equity 11.94%1.34B11.94%1.34B7.55%1.29B2.95%1.26B1.73%1.21B-17.37%1.2B-17.37%1.2B-17.56%1.2B-17.58%1.22B-20.90%1.19B
Total equity 11.94%1.34B11.94%1.34B7.55%1.29B2.95%1.26B1.73%1.21B-17.37%1.2B-17.37%1.2B-17.56%1.2B-17.58%1.22B-20.90%1.19B
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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