PINTEREST, INC. (PINS)

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CIK 0001506293 · NYSE · Services-Computer Programming, Data Processing, Etc.

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

In fiscal 2025, PINTEREST, INC. reported revenue of $4.22B, up 15.8% from the prior year. The company was profitable, with a net margin of 9.9%. It held $5.49B in total assets against $746.89M in total liabilities.

Key ratios (FY2025)

7.6%
Operating margin
9.9%
Net margin
8.8%
Return on equity
+15.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$4.22B$3.65B$3.06B$2.80B$2.58B$1.69B$1.14B$755.93M$472.85M
Cost of Revenue$841.52M$750.36M$688.76M$678.60M$529.32M$449.36M$358.90M$241.58M$178.66M
Operating Income$319.88M$179.82M-$125.68M-$101.68M$326.19M-$142.50M-$1.39B-$74.72M-$137.93M
Net Income$416.86M$1.86B-$35.61M-$96.05M$316.44M-$128.32M-$1.36B-$62.97M-$130.04M
EPS (Diluted)$0.61$2.67$-0.05$-0.14$0.46$-0.22$-3.24
Total Assets$5.49B$5.34B$3.59B$3.86B$3.54B$2.61B$2.39B$1.15B
Total Liabilities$746.89M$591.51M$503.73M$581.08M$498.50M$367.09M$369.61M$281.89M
Shareholders' Equity$4.75B$4.75B$3.09B$3.28B$3.04B$2.24B$2.02B-$594.56M-$546.46M-$448.29M
Cash & Equivalents$969.34M$1.14B$1.36B$1.61B$1.42B$669.23M$649.67M$122.51M$71.47M
Operating Cash Flow$1.28B$964.59M$612.96M$469.20M$752.91M$28.83M$657.0K-$60.37M-$102.91M
Capital Expenditures$32.38M$24.61M$8.06M$28.98M
Shares Outstanding687.77M698.38M674.64M665.73M691.65M596.26M420.47M