LEGALZOOM.COM, INC. (LZ)

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CIK 0001286139 · Nasdaq · Services-Computer Processing & Data Preparation

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

In fiscal 2025, LEGALZOOM.COM, INC. reported revenue of $756.04M, up 10.9% from the prior year. The company was profitable, with a net margin of 2.0% and a gross margin of 65.9%. It held $511.52M in total assets against $339.64M in total liabilities.

Key ratios (FY2025)

65.9%
Gross margin
3.3%
Operating margin
2.0%
Net margin
9.0%
Return on equity
+10.9%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$756.04M$681.88M$660.73M$619.98M$575.08M$470.64M$408.38M
Cost of Revenue$257.96M$240.09M$239.26M$211.09M$189.36M$154.56M$136.91M
Gross Profit$498.08M$441.79M$421.46M$408.88M$385.72M$316.07M$271.46M
Operating Income$24.98M$35.58M$21.06M-$41.74M-$85.08M$48.93M$46.27M
Net Income$15.43M$29.96M$13.95M-$48.73M-$108.66M$9.90M$7.44M
EPS (Diluted)$0.08$0.16$0.07$-0.25$-0.67$0.06$0.04
Total Assets$511.52M$373.88M$447.82M$405.39M$431.01M$252.06M
Total Liabilities$339.64M$280.63M$278.98M$263.02M$233.46M$731.79M
Shareholders' Equity$171.88M$93.26M$168.83M$142.38M$197.55M-$550.63M-$556.99M-$556.53M
Cash & Equivalents$203.10M$142.06M$225.72M$189.08M$239.30M$114.47M$49.18M
Operating Cash Flow$178.20M$135.64M$124.31M$73.84M$54.15M$93.05M$52.70M
Capital Expenditures$30.28M$35.70M$31.59M$22.10M$11.74M$10.59M$18.35M
Shares Outstanding184.69M182.87M194.41M195.83M161.42M127.26M128.55M