Porch Group, Inc. (PRCH)

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CIK 0001784535 · Nasdaq · Services-Prepackaged Software

  • Sector Services
  • Fiscal year ends Dec 31

In fiscal 2025, Porch Group, Inc. reported revenue of $418.89M, up 33.7% from the prior year. The company ran a net loss, with a net margin of -0.8% and a gross margin of 81.2%. It held $797.42M in total assets against $775.04M in total liabilities.

Key ratios (FY2025)

81.2%
Gross margin
8.7%
Operating margin
-0.8%
Net margin
+33.7%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$418.89M$313.27M$287.47M$275.95M$192.43M$72.30M$77.59M
Cost of Revenue$142.42M$235.92M$229.41M$107.58M$58.73M$17.56M$21.50M
Gross Profit$339.99M$201.93M$200.90M
Operating Income$36.57M-$64.57M-$190.35M-$177.05M-$83.36M-$42.23M-$88.12M
Net Income-$3.36M-$32.83M-$133.93M-$156.56M-$106.61M-$54.03M-$103.32M
EPS (Diluted)$-0.03$-0.33$-1.39$-1.61$-1.14$-2.03$-3.31
Total Assets$797.42M$813.97M$899.39M$1.05B$1.04B$268.39M$48.47M
Total Liabilities$775.04M$857.19M$935.08M$969.70M$821.70M$161.06M$108.45M
Shareholders' Equity-$24.62M-$43.23M-$35.68M$79.35M$217.04M$107.33M-$59.98M-$149.84M
Cash & Equivalents$44.68M$167.64M$258.42M$215.06M$315.74M$196.05M$4.18M
Operating Cash Flow$66.42M-$31.68M$33.93M-$17.74M-$34.78M-$48.67M-$29.34M
Capital Expenditures$454.0K$523.0K$851.0K$2.35M$972.0K$279.0K$478.0K
Shares Outstanding124.10M119.80M97.10M98.46M97.96M81.67M34.20M