Coursera, Inc. (COUR)

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CIK 0001651562 · NYSE · Services-Prepackaged Software

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

In fiscal 2025, Coursera, Inc. reported revenue of $757.50M, up 9.0% from the prior year. The company ran a net loss, with a net margin of -6.7% and a gross margin of 54.6%. It held $1.00B in total assets against $364.30M in total liabilities.

Key ratios (FY2025)

54.6%
Gross margin
-10.2%
Operating margin
-6.7%
Net margin
-8.0%
Return on equity
+9.0%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$757.50M$694.70M$635.80M$523.76M$415.29M$293.51M$184.41M
Cost of Revenue$344.10M$323.30M$306.00M$192.28M$165.82M$138.85M$89.59M
Gross Profit$413.40M$371.40M$329.80M$331.48M$249.47M$154.66M$94.82M
Operating Income-$77.40M-$113.20M-$145.60M-$177.38M-$143.06M-$66.58M-$48.39M
Net Income-$51.00M-$79.50M-$116.60M-$175.36M-$145.22M-$66.81M-$46.72M
EPS (Diluted)$-0.31$-0.51$-0.77$-1.21$-1.28$-1.80
Total Assets$1.00B$930.30M$920.53M$947.60M$958.91M$417.62M
Total Liabilities$364.30M$332.90M$304.34M$253.02M$217.40M$177.16M
Shareholders' Equity$635.70M$597.40M$616.20M$694.60M$741.51M-$221.82M-$187.00M-$177.74M
Cash & Equivalents$792.60M$726.10M$656.30M$320.82M$580.66M$79.88M$55.99M
Operating Cash Flow$108.70M$95.40M$29.70M-$38.05M$1.75M-$14.99M-$21.33M
Capital Expenditures$1.50M$1.60M$1.10M$1.58M$1.55M$3.10M$4.41M
Shares Outstanding167.90M160.10M155.32M147.94M141.91M40.30M