Fiverr International Ltd. (FVRR)

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CIK 0001762301 · NYSE · Services-Business Services, NEC

  • Sector Services
  • Incorporated L3
  • Fiscal year ends Dec 31

In fiscal 2025, Fiverr International Ltd. reported revenue of $430.91M, up 10.1% from the prior year. The company was profitable, with a net margin of 4.9% and a gross margin of 81.6%. It held $684.60M in total assets against $272.62M in total liabilities.

Key ratios (FY2025)

81.6%
Gross margin
-0.3%
Operating margin
4.9%
Net margin
5.1%
Return on equity
+10.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$430.91M$391.48M$361.38M$337.37M$297.66M$189.51M$107.07M$75.50M$52.11M
Cost of Revenue$79.42M$70.57M$61.85M$65.95M$51.72M$33.19M$22.22M$15.62M$13.36M
Gross Profit$351.49M$320.92M$299.53M$271.42M$245.94M$156.32M$84.85M$59.88M$38.75M
Operating Income-$1.18M-$15.82M-$15.11M-$74.53M-$45.34M-$11.81M-$34.75M-$36.47M-$19.52M
Net Income$20.98M$18.25M$3.68M-$71.49M-$65.01M-$14.81M-$33.54M-$36.06M-$19.32M
EPS (Diluted)$0.56$0.48$0.09$-1.94$-1.81$-0.46
Total Assets$684.60M$1.07B$1.02B$923.80M$931.57M$861.20M$236.36M$111.03M
Total Liabilities$272.62M$707.32M$667.83M$658.07M$584.70M$515.80M$87.55M$57.06M
Shareholders' Equity$411.98M$362.65M$355.77M$265.73M$346.87M$345.40M$148.81M$53.97M$23.10M$40.59M
Cash & Equivalents$125.22M$133.47M$183.67M$86.75M$71.15M$268.03M$24.17M
Operating Cash Flow$104.59M$83.07M$83.19M$30.11M$38.04M$17.14M-$13.94M-$51.68M-$5.26M
Capital Expenditures$647.0K$1.30M$1.05M$1.20M$1.68M$2.09M$1.02M$767.0K$2.20M
Shares Outstanding36.09M35.84M38.65M37.54M36.76M35.84M31.94M7.06M