Butterfly Network, Inc. (BFLY)

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CIK 0001804176 · NYSE · X-Ray Apparatus & Tubes & Related Irradiation Apparatus

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Butterfly Network, Inc. reported revenue of $97.61M, up 19.0% from the prior year. The company ran a net loss, with a net margin of -79.0% and a gross margin of 46.9%. It held $296.53M in total assets against $100.55M in total liabilities.

Key ratios (FY2025)

46.9%
Gross margin
-88.5%
Operating margin
-79.0%
Net margin
-39.3%
Return on equity
+19.0%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$97.61M$82.06M$65.90M$73.39M$62.56M$46.25M$27.58M
Cost of Revenue$51.88M$33.23M$49.04M
Gross Profit$45.73M$48.83M$16.86M$39.46M$17.05M-$61.22M-$20.89M
Operating Income-$86.42M-$74.41M-$145.61M-$193.02M-$192.73M-$161.62M-$102.30M
Net Income-$77.06M-$72.49M-$133.70M-$168.72M-$32.41M-$162.75M-$99.70M
EPS (Diluted)$-0.31$-0.34$-0.65$-0.84$-0.19$-26.87$-17.08
Total Assets$296.53M$256.08M$304.27M$417.57M$571.97M$147.19M
Total Liabilities$100.55M$87.25M$84.22M$92.21M$124.27M$148.19M
Shareholders' Equity$195.98M$168.83M$220.05M$325.36M$447.69M-$361.93M-$212.28M-$118.94M
Cash & Equivalents$150.49M$88.78M$134.44M$162.56M$422.84M$60.21M$90.00M
Operating Cash Flow-$12.70M-$41.71M-$98.82M-$169.12M-$189.19M-$81.70M-$120.43M
Capital Expenditures$3.35M$2.69M$5.78M$18.30M$7.88M$2.38M$4.47M
Shares Outstanding247.12M211.68M205.39M199.85M173.81M6.06M5.84M
Dividends Per Share$0.00$0.00$0.00$0.00$0.00