ThredUp Inc. (TDUP)

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CIK 0001484778 · Nasdaq · Retail-Catalog & Mail-Order Houses

  • Sector Retail Trade
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, ThredUp Inc. reported revenue of $310.81M, up 19.5% from the prior year. The company ran a net loss, with a net margin of -6.5% and a gross margin of 79.4%. It held $167.25M in total assets against $108.05M in total liabilities.

Key ratios (FY2025)

79.4%
Gross margin
-7.0%
Operating margin
-6.5%
Net margin
-34.1%
Return on equity
+19.5%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$310.81M$260.03M$258.50M$288.38M$251.79M$186.01M$163.81M
Cost of Revenue$64.06M$52.91M$60.04M$96.04M$73.66M$57.87M$51.31M
Gross Profit$246.75M$207.12M$198.47M$192.34M$178.13M$128.15M$112.50M
Operating Income-$21.75M-$40.62M-$53.00M-$89.49M-$62.39M-$46.59M-$36.81M
Net Income-$20.21M-$76.99M-$71.25M-$92.28M-$63.18M-$47.88M-$38.20M
EPS (Diluted)$-0.17$-0.69$-0.68$-0.92$-0.82$-4.14$-3.72
Total Assets$167.25M$171.22M$249.97M$301.95M$360.83M$142.91M
Total Liabilities$108.05M$114.92M$146.05M$161.95M$155.09M$118.05M
Shareholders' Equity$59.19M$56.30M$103.92M$140.00M$205.73M-$222.18M-$183.24M-$153.45M
Cash & Equivalents$38.63M$31.85M$54.34M$38.03M$84.55M$64.48M
Operating Cash Flow$10.65M$4.90M-$9.82M
Capital Expenditures$10.47M$6.58M$13.11M$43.25M$19.83M$19.42M$9.50M
Shares Outstanding121.69M111.96M104.88M99.82M77.09M11.56M10.27M