Innoviz Technologies Ltd. (INVZ)

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CIK 0001835654 · Nasdaq · Motor Vehicle Parts & Accessories

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

In fiscal 2025, Innoviz Technologies Ltd. reported revenue of $55.09M, up 127.0% from the prior year. The company ran a net loss, with a net margin of -123.1% and a gross margin of 23.4%.

Key ratios (FY2025)

23.4%
Gross margin
-123.0%
Operating margin
-123.1%
Net margin
-87.2%
Return on equity
+127.0%
Revenue growth (YoY)
Metric (FY)202520242023202220212020201920182017
Revenue$55.09M$24.27M$20.88M$6.03M$5.47M-$9.36M$1.57M$62.0K
Cost of Revenue$42.18M$25.43M$32.49M$14.79M$10.49M$6.41M$1.99M$53.0K
Gross Profit$12.90M-$1.16M-$11.61M-$8.76M-$5.02M-$15.77M-$411.0K$9.0K
Operating Income-$67.73M-$101.92M-$132.60M-$133.35M-$157.65M-$81.98M-$69.46M-$56.26M
Net Income-$67.80M-$94.76M-$123.45M-$126.87M-$153.56M-$81.51M-$67.30M-$56.40M
EPS (Diluted)$-0.34$-0.57$-0.84$-0.94$-1.54$-5.99
Total Assets$138.45M$132.05M$219.23M$255.43M$327.22M$72.56M$123.86M
Shareholders' Equity$77.72M$78.93M$153.29M$192.02M$298.80M-$223.75M-$145.71M-$80.66M-$25.64M
Cash & Equivalents$8.64M$25.36M$26.28M$55.72M$23.64M$49.95M$72.79M$18.55M
Operating Cash Flow-$47.92M-$76.95M-$93.05M-$93.41M-$82.52M-$61.94M-$69.22M-$39.38M
Capital Expenditures$4.25M$4.41M$6.58M$22.57M$3.78M$5.12M$5.85M$6.85M
Shares Outstanding214.09M169.40M165.39M136.19M134.10M16.95M15.86M