MANHATTAN ASSOCIATES INC
Manhattan Associates, Inc. (NASDAQ: MANH) develops, sells, deploys, and maintains cloud-based software solutions designed to manage supply chains, inventory, and omnichannel operations for retailers, wholesalers, manufacturers, logistics providers, and other organizations worldwide. The company's website is… From the company’s description.
Margins and return on equity change in ; everything else in percent. Fewer shares and less debt are shown plainly, not as bad news — it depends what you make of buybacks. Dotted labels explain each measure. is shown separately from the annual figures.
What MANHATTAN ASSOCIATES INC does
In the company’s own words
Manhattan Associates, Inc. (NASDAQ: MANH) develops, sells, deploys, and maintains cloud-based software solutions designed to manage supply chains, inventory, and omnichannel operations for retailers, wholesalers, manufacturers, logistics providers, and other organizations worldwide. The company's website is www.manh.com.
Founded in 1990 and incorporated in Georgia in 1998, Manhattan Associates serves many of the world's premier and most profitable brands through its comprehensive software portfolio. The company operates three primary business segments organized by geography: North and Latin America, Europe Middle East and Africa, and Asia Pacific. Manhattan's solutions address three distinct areas of customer operations: supply chain execution, omnichannel commerce, and supply chain planning.
The company's core product offering centers on the Manhattan Active platform, a cloud-native, versionless software-as-a-service architecture delivered exclusively through multi-year subscription arrangements. Manhattan Active Warehouse Management provides distribution center optimization with embedded labor management and fulfillment capabilities. Manhattan Active Transportation Management helps organizations optimize freight costs and network planning. Manhattan Active Omni unifies order management, store inventory and fulfillment, point-of-sale, and customer engagement capabilities. Manhattan Active Supply Chain Planning integrates demand forecasting, replenishment, and allocation functions. The company also offers SCALE, a logistics execution solution built on Microsoft's .NET platform designed for rapid deployment and value-based total cost of ownership.
Manhattan differentiates through its platform-based architecture, deep supply chain domain expertise, continuous innovation, and extensibility capabilities that allow customers to modify data models, user interfaces, and business logic. The company employs approximately 4,370 employees globally across offices in Australia, Chile, China, France, Germany, India, Italy, Japan, the Netherlands, Singapore, Spain, the United Kingdom, and the United States, with representatives in Mexico and reseller partnerships throughout emerging markets.
The company generates revenue through cloud subscriptions, software licenses, professional services, training and change management services, maintenance agreements, and hardware resales. Manhattan's customers span diverse vertical markets including retail, consumer goods, food and grocery, logistics service providers, industrial and wholesale, high technology, life sciences, and government sectors.
Company details
- Sector
- Technology
- Industry
- Prepackaged Software
- Headquarters
- ATLANTA, GA
- Fiscal year end
- December
- CIK
- 1056696
- SIC
- 7372
Financial performance, year by year
Fiscal 2013–2025 · USDThe full income statement, balance sheet and cash flow for each of these years — every figure traceable to its filing — is on the Financials tab with a free account.
Who owns MANHATTAN ASSOCIATES INC — and what changed
Funds as of 2026Q2 · superinvestors as of 2026-06-30
Superinvestors in MANHATTAN ASSOCIATES INC · what they did last quarter
Share of each manager’s reported 13F portfolio. Change is in shares held, since the previous quarter.
Largest fund holders · MANHATTAN ASSOCIATES INC’s weight in each
Fund ownership is a floor, not a census — pensions, insurers and people holding shares directly are not visible here.
Fund ownership counts N-PORT filers only, so it is a floor rather than a census — pensions, insurers and direct holders are not visible here, and the remainder is not “held by individuals”.
Fund ownership is a subset of institutional 13F ownership — the two describe overlapping populations and must not be added together.
Every fund and institutional holder, quarter by quarter, is on the Ownership tab with a free account.
Recent filings
All filings →Each filing opens into its own statements and disclosures here.
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