The tables show figures LOGITECH INTERNATIONAL S.A. filed with the SEC, in the currency it filed in (USD). A † marks totals or quarters calculated from filed lines. Nothing here is a forecast. By fiscal year · By quarter · What moved
Latest annual figures
LOGITECH INTERNATIONAL S.A.: annual revenue and profit
LOGITECH INTERNATIONAL S.A. reported annual revenue of $4.8bn (USD) for the fiscal year ending 31 Mar 2026.
LOGITECH INTERNATIONAL S.A. reported annual net income of $711.2m (USD) for the fiscal year ending 31 Mar 2026.
These are annual figures. The company report's headline twelve-month figures use an available twelve-month window from the filings and are missing when none can be calculated.
Gross profitWhat was left after the cost of making it
+155%
$2.1bn
$2.0bn
$1.8bn
$1.7bn
$2.3bn
$2.3bn
$1.1bn
$1.0bn
$909.2m
$820.0m
Research & developmentSpent on developing products
+142%
$316.2m
$309.0m
$287.2m
$280.8m
$291.8m
$226.0m
$177.6m
$161.2m
$143.8m
$130.5m
Restructuring chargesOne-off costs of closing or reorganising
+42770%
$9.9m
$9.6m
$3.9m
$34.6m
$2.2m
-$54,000
$144,000
$11.3m
-$116,000
$23,000
Operating profitProfit from the business itself
+266%
$775.2m
$654.9m
$587.3m
$458.5m
$774.0m
$1.1bn
$276.5m
$263.2m
$229.7m
$211.9m
TaxPaid in tax
+1166%
$115.3m
$75.3m
$9.5m
$98.9m
$131.3m
$200.9m
-$125.4m
$13.6m
$23.7m
$9.1m
Net incomeWhat was left after everything
-25%
$711.2m
$631.5m
$612.1m
$364.6m
$644.5m
$947.3m
—
—
—
—
Diluted EPSThat profit, per share
+287%
$4.80
$4.13
$3.87
$2.23
$3.78
$5.51
$2.66
$1.52
$1.23
$1.24
What it owns and owes
Cash & equivalentsCash it can spend today
+218%
$1.7bn
$1.5bn
$1.5bn
$1.1bn
$1.3bn
$1.8bn
$715.6m
$604.5m
$641.9m
$547.5m
InventoryGoods not yet sold
+93%
$489.9m
$503.7m
$422.5m
$682.9m
$933.1m
$661.1m
$229.2m
$293.5m
$259.9m
$253.4m
Current assetsWhat it owns that turns to cash within a year
+184%
$2.9bn
$2.6bn
$2.6bn
$2.6bn
$3.1bn
$3.2bn
$1.4bn
$1.4bn
$1.2bn
$1.0bn
Total assetsEverything it owns
+157%
$3.8bn
$3.5bn
$3.6bn
$3.6bn
$4.0bn
$4.1bn
$2.4bn
$2.0bn
$1.7bn
$1.5bn
Current liabilitiesWhat it owes within a year
+159%
$1.3bn
$1.1bn
$1.1bn
$1.1bn
$1.4bn
$1.7bn
$714.1m
$717.8m
$575.7m
$507.1m
Total liabilitiesEverything it owes
+155%
$1.6bn
$1.4bn
$1.4bn
$1.3bn
$1.6bn
$1.9bn
$874.2m
$847.8m
$692.6m
$642.6m
Shareholders’ equityWhat would be left for owners if it paid off everything
+158%
$2.2bn
$2.1bn
$2.2bn
$2.3bn
$2.4bn
$2.3bn
$1.5bn
$1.2bn
$1.1bn
$856.1m
Where the cash went
Cash from operationsCash the business itself brought in
+272%
$1.0bn
$842.6m
$1.1bn
$534.0m
$298.3m
$1.5bn
$425.0m
$305.2m
$346.3m
$278.7m
Cash from investingCash spent on or raised from investments
-$62.4m
-$57.3m
-$70.3m
-$105.7m
-$107.9m
-$120.0m
-$130.2m
-$173.3m
-$128.7m
-$99.0m
Cash from financingCash raised from or returned to lenders and owners
-$751.1m
-$797.4m
-$690.2m
-$583.4m
-$606.8m
-$299.9m
-$176.7m
-$159.1m
-$127.9m
-$146.1m
Spending on property & equipmentSpent on property and equipment
+94%
$61.6m
$56.1m
$55.9m
$92.4m
$89.2m
$76.2m
$39.5m
$35.9m
$39.7m
$31.8m
AcquisitionsSpent buying other businesses
-100%
$0
$0
$14.4m
$8.5m
$16.2m
$43.5m
$91.6m
$133.8m
$88.3m
$67.0m
By quarter
Quarter ending
Over the period
30 Jun 2026
31 Mar 2026
31 Dec 2025
30 Sept 2025
30 Jun 2025
31 Mar 2025
31 Dec 2024
30 Sept 2024
30 Jun 2024
31 Mar 2024
31 Dec 2023
30 Sept 2023
What it earned
RevenueWhat it sold, before any costs
+16%
$1.2bn
$1.1bn†
$1.4bn
$1.2bn
$1.1bn
$1.0bn†
$1.3bn
$1.1bn
$1.1bn
$1.0bn†
$1.3bn
$1.1bn
Gross profitWhat was left after the cost of making it
+39%
$607.9m
$483.3m†
$614.6m
$514.5m
$479.0m
$435.8m†
$574.4m
$486.1m
$466.3m
$437.0m†
$526.8m
$438.6m
Research & developmentSpent on developing products
+23%
$84.6m
$87.1m†
$78.5m
$76.1m
$74.6m
$79.5m†
$78.0m
$76.2m
$75.3m
$75.4m†
$72.7m
$68.6m
Restructuring chargesOne-off costs of closing or reorganising
$570,000
$2.9m†
$462,000
$4.4m
$2.0m
$8.9m†
$110,000
$229,000
$386,000
$1.3m†
$839,000
-$1.8m
Operating profitProfit from the business itself
+65%
$258.6m
$135.8m†
$286.0m
$191.3m
$162.1m
$105.9m†
$234.6m
$160.9m
$153.5m
$130.2m†
$222.1m
$156.6m
TaxPaid in tax
+31%
$39.9m
$6.4m†
$48.1m
$32.4m
$28.5m
-$25.9m†
$45.1m
$30.6m
$25.6m
-$23.8m†
-$9.6m
$30.3m
Net incomeWhat was left after everything
+72%
$235.7m
$143.5m†
$251.0m
$170.7m
$146.0m
$144.1m†
$200.1m
$145.5m
$141.8m
$167.6m†
$244.7m
$137.1m
Diluted EPSThat profit, per share
+90%
$1.63
$0.98†
$1.69
$1.15
$0.98
$0.95†
$1.32
$0.95
$0.92
$1.07†
$1.55
$0.86
What it owns and owes
Cash & equivalentsCash it can spend today
+50%
$1.7bn
$1.7bn
$1.8bn
$1.4bn
$1.5bn
$1.5bn
$1.5bn
$1.4bn
$1.5bn
$1.5bn
$1.4bn
$1.2bn
InventoryGoods not yet sold
-8%
$491.7m
$489.9m
$449.5m
$517.7m
$499.8m
$503.7m
$483.6m
$520.5m
$459.6m
$422.5m
$447.3m
$532.9m
Current assetsWhat it owns that turns to cash within a year
+25%
$3.1bn
$2.9bn
$3.1bn
$2.7bn
$2.8bn
$2.6bn
$2.8bn
$2.7bn
$2.7bn
$2.6bn
$2.7bn
$2.5bn
Total assetsEverything it owns
+18%
$4.0bn
$3.8bn
$4.1bn
$3.7bn
$3.7bn
$3.5bn
$3.7bn
$3.6bn
$3.7bn
$3.6bn
$3.7bn
$3.4bn
Current liabilitiesWhat it owes within a year
+24%
$1.4bn
$1.3bn
$1.4bn
$1.3bn
$1.2bn
$1.1bn
$1.3bn
$1.2bn
$1.1bn
$1.1bn
$1.2bn
$1.1bn
Total liabilitiesEverything it owes
+25%
$1.7bn
$1.6bn
$1.8bn
$1.6bn
$1.6bn
$1.4bn
$1.6bn
$1.5bn
$1.4bn
$1.4bn
$1.5bn
$1.3bn
Shareholders’ equityWhat would be left for owners if it paid off everything
+13%
$2.4bn
$2.2bn
$2.3bn
$2.1bn
$2.2bn
$2.1bn
$2.1bn
$2.1bn
$2.2bn
$2.2bn
$2.2bn
$2.1bn
Where the cash went
Cash from operationsCash the business itself brought in
-25%
$166.7m
$202.8m†
$480.5m†
$228.8m†
$125.0m
$129.7m†
$370.9m†
$166.0m†
$176.0m
$239.1m†
$443.0m†
$223.3m†
Cash from investingCash spent on or raised from investments
-$17.1m
-$13.6m†
-$14.5m†
-$16.2m†
-$18.1m
-$11.9m†
-$14.0m†
-$16.0m†
-$15.4m
-$10.5m†
-$10.7m†
-$31.6m†
Cash from financingCash raised from or returned to lenders and owners
-$140.7m
-$267.4m†
-$25.9m†
-$323.4m†
-$134.4m
-$121.3m†
-$201.1m†
-$329.8m†
-$145.1m
-$111.7m†
-$190.2m†
-$271.1m†
Spending on property & equipmentSpent on property and equipment
-9%
$16.8m
$13.8m†
$14.9m†
$16.6m†
$16.3m
$12.8m†
$14.2m†
$14.5m†
$14.6m
$10.3m†
$10.9m†
$18.5m†
AcquisitionsSpent buying other businesses
—
—
—
—
—
$0†
$0†
—
—
$286,000†
$0†
$14.1m†
† Worked out by us, not filed on its own. For other marked lines, the company reports from the start of its year, so the quarter is one running total less the one before it.
What moved
The largest movements in the tables above, with what else moved alongside them. Anything filed near a movement is listed as having been filed near it — that is a date, not a cause.
Net income rose in each of the last 3 fiscal years
By the numbersOf the $79.7m rise in FY2026: revenue +$123.2m, gross margin +$5.6m, restructuring −$245,000, other operating costs −$8.2m, tax −$40.0m.
Also filed around then
19 Sept 2025 — departure or appointment of an officer or director
3 Mar 2025 — departure or appointment of an officer or director
Revenue rose in each of the last 2 fiscal years
By the numbersOver the same period: gross profit rose 6.6% to $2.1bn, operating profit rose 18.4% to $775.2m.
Also filed around then
19 Sept 2025 — departure or appointment of an officer or director
3 Mar 2025 — departure or appointment of an officer or director
Cash from operations fell in each of the last 2 quarters
By the numbersOver the same period: net income rose 64.3% to $235.7m, spending on property & equipment rose 21.4% to $16.8m, inventory rose 0.4% to $491.7m.
Where this came from
Prices: licensed end-of-day data from Tiingo.
Figures: as filed with the SEC (XBRL facts), for the period ending 2026-06-30.
Calculated figures marked †: total debt combines filed long-term debt with current debt when reported separately; some quarters subtract the prior running total from the latest one.
Built 16 Sept 2026. Reports are rebuilt every night while readers are reading them.