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NASDAQ · Financials

Adobe Inc. financials & valuation

Reported statements, fiscal periods and valuation definitions in one place.

Section freshness

Research as of Aug 28, 2026 · Prices as of Sep 28, 4:00 PM EDT · Fundamentals checked Sep 29, 9:28 AM EDT · Statements Aug 28, 2026

Financial statements

Show / hide line items

Revenue

23.77B

FY2025 · ended Nov 28, 2025

Operating Income

8.71B

FY2025 · ended Nov 28, 2025

Net Income

7.13B

FY2025 · ended Nov 28, 2025

Amounts in USD. B = billions · M = millions. Scroll horizontally for earlier periods.

Sources, units & calculation notes

TECHi unified data / SEC Companyfacts. Per-share figures are in USD/share; margins in %, debt/equity in ×. TTM sums four consecutive quarters; balance sheets remain period-end balances. Growth requires comparable positive values. EPS uses the provider’s reported share basis; missing direct quarters are unavailable, and mixed filing split bases are not summed. EPS growth and trend lines require matching documented accounting and split bases. Tab through controls; use arrow keys inside the table.

ADBE annual income
Line item FY2025Ended Nov 28, 2025Filed Jan 15, 2026Source filing FY2024Ended Nov 29, 2024Filed Jan 15, 2026Source filing FY2023Ended Dec 1, 2023Filed Jan 15, 2026Source filing FY2022Ended Dec 2, 2022Filed Jan 13, 2025Source filing1Y change3Y annual growthTrend
23.77B21.51B19.41B17.61B10.5%10.5%
7.13B5.56B5.43B4.76B28.2%14.5%
21.22B19.15B17.06B15.44B10.8%11.2%
8.71B6.74B6.65B6.1B29.1%12.6%

Earnings quality · Nov 28, 2025

Net income
7.13B
Free cash flow
9.85B
Stock-based compensation
1.94B
FCF / net income
138.2%
Accrual gap / revenue
-12.2%
Cash conversion
Strong cash conversion

Accrual gap = (net income − operating cash flow) / revenue. TECHi descriptive thresholds: strong ≥100%, moderate 75–100%, weak <75%. CapEx timing, working capital and industry structure affect the ratio; it is not an accounting audit.

Download quarterly financial dataset

Changes between reports

Q3 Aug 28, 2026 versus Q2 May 29, 2026

Latest quarter compared with the preceding report. Margin changes are in percentage points (pp).

Revenue
6.76B↑ +2.1%
Previous: 6.62B · USD
Gross margin
88.71%↓ -0.5 pp
Previous: 89.20%
Operating margin
34.82%↑ +1.0 pp
Previous: 33.82%
Net margin
27.03%↑ +1.2 pp
Previous: 25.87%
Cash
4.36B↓ -11.4%
Previous: 4.92B · USD
Debt
6.36B↓ -4.2%
Previous: 6.65B · USD
Capex
85M↑ +46.6%
Previous: 58M · USD
Stock-based compensation
539M↑ +0.9%
Previous: 534M · USD

Reported-period comparison. Guidance and risk-factor changes require reading the filings.

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Valuation & ratios

Multiples with negative or missing earnings are not meaningful. Annual free cash flow yield uses the latest fiscal year; provider forward multiples may use a different earnings horizon.

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