Backblaze, Inc. (BLZE)

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CIK 0001462056 · Nasdaq · Services-Prepackaged Software

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

In fiscal 2025, Backblaze, Inc. reported revenue of $145.84M, up 14.3% from the prior year. The company ran a net loss, with a net margin of -17.6% and a gross margin of 60.9%. It held $191.83M in total assets against $108.61M in total liabilities.

Key ratios (FY2025)

60.9%
Gross margin
-16.2%
Operating margin
-17.6%
Net margin
-30.8%
Return on equity
+14.3%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$145.84M$127.63M$102.02M$85.16M$67.48M$53.78M
Cost of Revenue$57.04M$58.28M$52.16M$41.29M$33.14M$25.80M
Gross Profit$88.79M$69.34M$49.86M$43.86M$34.34M$27.98M
Operating Income-$23.62M-$46.29M-$57.91M-$48.11M-$18.79M-$3.73M
Net Income-$25.61M-$48.53M-$59.71M-$51.40M-$21.70M-$6.62M
EPS (Diluted)$-0.46$-1.11$-1.66$-1.62$-1.07$-0.36
Total Assets$191.83M$168.56M$131.69M$152.46M$163.58M$54.47M
Total Liabilities$108.61M$90.94M$86.75M$83.71M$68.09M$58.52M
Shareholders' Equity$83.22M$77.62M$44.94M$68.75M$95.49M-$6.84M-$2.59M
Cash & Equivalents$29.18M$45.78M$12.50M$6.69M$104.84M$6.08M
Operating Cash Flow$23.54M$12.51M-$7.35M-$13.78M$3.52M$12.82M
Capital Expenditures$4.69M$1.71M$5.51M$7.35M$7.56M$2.12M
Shares Outstanding56.21M43.54M36.01M31.66M20.35M18.61M