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TEAM.US · Atlassian Corp

US · US

Latest price69.81 USD
30D+0.68%
Vs. base value-

Research summary

TEAM.US latest organized financial period shows revenue grew +19.66% YoY and net income grew +14.59% YoY. Current price is about 69.81 USD, while the model base case is about -; the valuation gap needs more complete inputs. The page shows both reported and adjusted views; valuation still defaults to reported figures, while adjusted figures help isolate structured one-time-item impact. This summary is intended for public-information research and model review.

Key financial trend

Annual financial metrics with switchable views. · Unit: USD

13 records
Revenue5B USD
Net income-257M USD
Free cash flow1B USD
Operating cash flow1B USD

Price trend

Price date: 2026/04/29 · Updated: 2026/04/29 15:23

Valuation model range

Hover each model row to inspect formulas and inputs.

Current price69.81 USD
Base value-
Vs. base-
Price date2026/04/29
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Excluded

DCF

Free cash flow, growth, discount rate, and terminal growth form an intrinsic value range.

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-estimated share-count samples
Excluded

Owner Earnings

Uses recent net income as an owner-earnings proxy and discounts scenario growth.

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-

-estimated share-count samples
Excluded

Reverse DCF

Solves the forward FCF growth rate implied by the current price.

Implied growth-

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-estimated share-count samples
Excluded

Earnings Power Value

Estimates earnings power value without assuming growth.

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-

-estimated share-count samples

Updated: 2026/04/29 15:23

Valuation basis and non-recurring items

Collapsed by default. Expand to inspect structured one-time items and adjusted figures without making them the primary page focus.

Expand

A positive amountAfterTax means the item increased reported net income; a negative value means it reduced reported net income. Adjusted net income = reported net income minus total after-tax impact. Valuation defaults to reported figures; adjusted figures are shown to observe one-time-item impact.

PeriodItemCategoryAfter-tax impactConfidence
2023/06/30Asset impairmentImpairment-145M USDMedium
2023/06/30Restructuring chargesRestructuring-77M USDMedium
2021/06/30Asset impairmentImpairment-6M USDMedium
2025/12/31Asset impairmentImpairment-21M USDMedium
2025/12/31Restructuring chargesRestructuring-44M USDMedium
2025/09/30Asset impairmentImpairment-21M USDMedium
2025/09/30Restructuring chargesRestructuring-44M USDMedium
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Quarterly and annual financial table

Financial DetailsShowing latest 5 / 13
PeriodTypeRevenueNet IncomeAdjusted net incomeFree Cash FlowDiluted EPSAdjusted EPS
2025/06/30Annual5B USD-257M USD-1B USD-0.98-
2024/06/30Annual4B USD-301M USD-1B USD-1.16-
2023/06/30Annual4B USD-487M USD-265M USD842M USD-1.9-1.04
2022/06/30Annual3B USD-520M USD-750M USD-2.05-
2021/06/30Annual2B USD-579M USD-573M USD758M USD-2.32-2.3
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