CS Disco, Inc. (LAW)

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CIK 0001625641 · NYSE · Services-Prepackaged Software

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

In fiscal 2025, CS Disco, Inc. reported revenue of $156.85M, up 8.3% from the prior year. The company ran a net loss, with a net margin of -28.3% and a gross margin of 74.9%. It held $173.64M in total assets against $45.53M in total liabilities.

Key ratios (FY2025)

74.9%
Gross margin
-30.7%
Operating margin
-28.3%
Net margin
-34.6%
Return on equity
+8.3%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$156.85M$144.84M$138.09M$135.19M$114.34M$68.44M
Cost of Revenue$39.42M$37.41M$34.95M$34.16M$31.10M$20.45M
Gross Profit$117.42M$107.43M$103.14M$101.03M$83.24M$47.99M
Operating Income-$48.12M-$61.72M-$49.84M-$71.81M-$23.83M-$22.50M
Net Income-$44.37M-$55.77M-$42.15M-$70.77M-$24.34M-$22.87M
EPS (Diluted)$-0.72$-0.93$-0.70$-1.20$-0.73$-1.74
Total Assets$173.64M$180.32M$231.55M$256.32M$287.40M$79.11M
Total Liabilities$45.53M$32.81M$31.21M$32.69M$18.72M$13.23M
Shareholders' Equity$128.11M$147.51M$200.34M$223.64M$268.68M-$94.92M-$74.35M
Cash & Equivalents$19.66M$52.77M$159.55M$203.24M$255.48M$58.57M
Operating Cash Flow-$14.94M-$8.75M-$25.53M-$46.01M-$21.64M-$22.71M
Capital Expenditures$3.05M$2.78M$4.86M$4.38M$3.11M$1.90M
Shares Outstanding63.26M60.33M61.01M59.19M58.01M13.53M