Xometry, Inc. (XMTR)

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CIK 0001657573 · Nasdaq · Services-Business Services, NEC

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

In fiscal 2025, Xometry, Inc. reported revenue of $686.63M, up 25.9% from the prior year. The company ran a net loss, with a net margin of -9.0% and a gross margin of 39.1%. It held $703.72M in total assets against $426.98M in total liabilities.

Key ratios (FY2025)

39.1%
Gross margin
-6.6%
Operating margin
-9.0%
Net margin
-22.3%
Return on equity
+25.9%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$686.63M$545.53M$463.41M$380.92M$218.34M$141.41M$80.23M
Cost of Revenue$417.86M$329.90M$285.15M$234.93M$161.19M$108.12M$65.49M
Gross Profit$268.77M$215.62M$178.26M$145.99M$57.14M$33.29M$14.74M
Operating Income-$45.52M-$56.15M-$73.58M-$77.09M-$58.69M-$29.22M-$30.55M
Net Income-$61.75M-$50.40M-$67.47M-$79.04M-$61.38M-$31.09M-$30.99M
EPS (Diluted)$-1.03$-1.41$-1.68$-2.33$-5.32
Total Assets$703.72M$680.13M$707.39M$734.11M$502.59M$88.96M
Total Liabilities$426.98M$364.53M$376.97M$362.31M$77.10M$39.50M
Shareholders' Equity$276.74M$315.60M$330.42M$371.80M$425.48M-$111.25M-$73.10M-$45.84M
Cash & Equivalents$15.00M$22.23M$53.42M$65.66M$86.26M$59.87M
Operating Cash Flow$6.09M-$15.38M-$29.88M-$62.58M-$68.57M-$22.05M-$27.12M
Capital Expenditures$30.18M$18.10M$18.49M$13.65M$6.26M$4.19M$2.69M
Shares Outstanding49.08M47.91M47.16M26.32M7.49M