Braze, Inc. (BRZE)

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CIK 0001676238 · Nasdaq · Services-Prepackaged Software

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

In fiscal 2026, Braze, Inc. reported revenue of $738.18M, up 24.4% from the prior year. The company ran a net loss, with a net margin of -17.8% and a gross margin of 67.1%. It held $1.11B in total assets against $489.60M in total liabilities.

Key ratios (FY2026)

67.1%
Gross margin
-19.6%
Operating margin
-17.8%
Net margin
-21.0%
Return on equity
+24.4%
Revenue growth (YoY)
Metric (FY)20262025202420232022202120202019
Revenue$738.18M$593.41M$471.80M$355.43M$238.03M$150.19M$96.36M
Cost of Revenue$242.53M$183.19M$147.53M$115.82M$78.51M$54.51M$35.69M
Gross Profit$495.66M$410.22M$324.27M$239.61M$159.52M$95.68M$60.68M
Operating Income-$144.76M-$122.16M-$144.69M-$148.14M-$78.21M-$32.15M-$33.53M
Net Income-$131.29M-$103.74M-$129.17M-$138.97M-$76.72M-$31.75M-$31.81M
EPS (Diluted)$-1.22$-1.02$-1.32$-1.47$-2.20$-1.77$-1.96
Total Assets$1.11B$871.00M$810.94M$705.41M$666.26M$171.39M
Total Liabilities$489.60M$396.25M$366.52M$258.65M$161.44M$103.44M
Shareholders' Equity$623.77M$474.86M$444.23M$445.30M$501.58M-$108.51M-$86.88M-$78.89M
Cash & Equivalents$124.34M$83.06M$68.23M$68.59M$478.94M$28.51M
Operating Cash Flow$71.44M$36.68M$6.85M-$22.31M-$35.40M-$6.08M-$7.37M
Capital Expenditures$9.59M$13.23M$9.76M$15.45M$2.31M$2.47M$1.72M
Shares Outstanding107.91M102.19M98.10M94.57M34.90M17.97M16.19M