Open Text Corporation
Fundamentals
Oldest to newest- Revenue
- $5.25Blast 12 months
- Net income
- $643.0Mlast 12 months
- Operating cash flow
- $1.01Blast 12 months
- Cash and equivalents
- $956.0Mat the last balance sheet
- Total debt
- $5.77Bat the last balance sheet
- Shares outstanding
- 242.1M shareson issue