Warby Parker Inc. (WRBY)

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CIK 0001504776 · NYSE · Ophthalmic Goods

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

In fiscal 2025, Warby Parker Inc. reported revenue of $871.90M, up 13.0% from the prior year. The company was profitable, with a net margin of 0.2% and a gross margin of 54.0%. It held $720.92M in total assets against $353.19M in total liabilities.

Key ratios (FY2025)

54.0%
Gross margin
-0.6%
Operating margin
0.2%
Net margin
0.4%
Return on equity
+13.0%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$871.90M$771.32M$669.76M$598.11M$540.80M$393.72M$370.46M
Cost of Revenue$401.33M$344.48M$304.54M$257.05M$223.05M$161.78M$147.35M
Gross Profit$470.58M$426.83M$365.22M$341.06M$317.75M$231.94M$223.11M
Operating Income-$5.34M-$30.11M-$72.00M-$111.20M-$143.66M-$55.63M-$1.66M
Net Income$1.64M-$20.39M-$63.20M-$110.39M-$144.27M-$55.92M$0
EPS (Diluted)$0.01$-0.17$-0.54$-0.96$-2.21$-1.05$-1.10
Total Assets$720.92M$676.49M$580.31M$568.71M$440.65M$444.75M
Total Liabilities$353.19M$336.42M$278.52M$282.06M$154.65M$136.34M
Shareholders' Equity$367.73M$340.07M$301.79M$286.65M$286.00M-$198.10M-$189.45M-$133.59M
Cash & Equivalents$286.36M$254.16M$216.89M$208.59M$256.42M$314.08M
Operating Cash Flow$110.78M$98.74M$60.99M$10.37M-$31.99M$32.76M$21.39M
Capital Expenditures$67.05M$64.03M$53.67M$60.18M$48.51M$20.07M$32.63M
Shares Outstanding125.10M120.39M117.39M114.94M71.25M53.03M52.42M