Roadzen Inc. (RDZN)
↓ Download CSV- Sector Finance & Real Estate
- Incorporated D8
- Fiscal year ends Mar 31
In fiscal 2025, Roadzen Inc. reported revenue of $44.30M, down 5.2% from the prior year. The company ran a net loss, with a net margin of -164.5%. It held $32.58M in total assets against $58.27M in total liabilities.
Key ratios (FY2025)
-137.3%
Operating margin
-164.5%
Net margin
-5.2%
Revenue growth (YoY)
| Metric (FY) | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Revenue | $44.30M | $46.72M | $13.56M | — | — |
| Cost of Revenue | $18.83M | $18.13M | $5.41M | — | — |
| Operating Income | -$60.81M | -$77.66M | -$11.53M | — | — |
| Net Income | -$72.87M | -$99.67M | -$14.02M | $983.4K | — |
| EPS (Diluted) | $-1.04 | $-2.26 | $-0.86 | — | — |
| Total Assets | $32.58M | $58.14M | $15.18M | $207.29M | $205.39M |
| Total Liabilities | $58.27M | $68.64M | $17.99M | $7.96M | $7.03M |
| Shareholders' Equity | -$25.07M | -$10.07M | -$50.85M | -$7.76M | -$5.75M |
| Cash & Equivalents | $4.84M | $11.19M | $589.3K | — | — |
| Operating Cash Flow | -$18.14M | -$19.22M | -$7.55M | -$1.19M | — |
| Capital Expenditures | $424.9K | $455.9K | $842.0K | — | — |
| Shares Outstanding | 74.29M | 68.44M | 16.50M | — | — |