RISKIFIED LTD. (RSKD)

↓ Download CSV

CIK 0001851112 · NYSE · Services-Business Services, NEC

  • Sector Services
  • Incorporated L3
  • Fiscal year ends Dec 31

In fiscal 2025, RISKIFIED LTD. reported revenue of $344.64M, up 5.2% from the prior year. The company ran a net loss, with a net margin of -8.0% and a gross margin of 51.7%. It held $410.57M in total assets against $115.81M in total liabilities.

Key ratios (FY2025)

51.7%
Gross margin
-9.9%
Operating margin
-8.0%
Net margin
-9.4%
Return on equity
+5.2%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$344.64M$327.52M$297.61M$261.25M$229.14M$169.74M$130.56M
Cost of Revenue$166.57M$156.58M$145.09M$126.15M$106.17M$76.92M$64.87M
Gross Profit$178.07M$170.94M$152.52M$135.10M$122.97M$92.82M$65.69M
Operating Income-$34.03M-$47.85M-$76.85M-$109.35M-$55.94M-$6.81M-$13.88M
Net Income-$27.57M-$34.92M-$59.03M-$104.70M-$179.43M-$11.35M-$14.18M
EPS (Diluted)$0.62
Total Assets$410.57M$495.86M$601.93M$606.98M$600.63M$180.56M
Total Liabilities$115.81M$113.56M$110.21M$112.55M$71.77M$64.31M
Shareholders' Equity$294.76M$382.30M$491.72M$494.44M$527.60M-$44.03M-$40.60M-$37.92M
Cash & Equivalents$162.15M$371.06M$440.84M$188.67M$418.14M$103.61M$69.70M
Operating Cash Flow$33.88M$39.70M$7.28M-$26.25M-$20.28M-$3.12M$3.84M
Capital Expenditures$810.0K$637.0K$1.35M$6.13M$12.25M$1.51M$2.11M
Shares Outstanding157.46M170.91M176.77M167.67M76.46M