The Inventing Press

Braze, Inc.

Financial highlights

MetricFY 01/31/26FY 01/31/25FY 01/31/24FY 01/31/23FY 01/31/22
Income Statement
Revenue$738.2M$593.4M$471.8M$355.4M$238.0M
Cost of revenue$242.5M$183.2M$147.5M$115.8M$78.5M
Gross profit$495.7M$410.2M$324.3M$239.6M$159.5M
Research and development$167.1M$134.0M$119.9M$97.3M$59.0M
Operating expenses$640.4M$532.4M$469.0M$387.7M$237.7M
Operating income-$144.8M-$122.2M-$144.7M-$148.1M-$78.2M
Pretax income-$128.2M-$100.6M-$128.5M-$140.2M-$78.3M
Income tax expense$2.6M$3.4M$2.0M$583,000-$165,000
Net income-$131.3M-$103.7M-$129.2M-$139.0M-$76.7M
Balance Sheet
Cash and equivalents$124.3M$83.1M$68.2M$68.6M$478.9M
Current assets$567.9M$644.0M$601.1M$583.2M$608.2M
Total assets$1.1B$871.0M$810.9M$705.4M$666.3M
Current liabilities$420.4M$324.5M$289.4M$217.3M$160.0M
Total liabilities$489.6M$396.2M$366.5M$258.6M$161.4M
Stockholders' equity$623.8M$474.9M$444.2M$445.3M$501.6M
Cash Flow Statement
Cash from operations$71.4M$36.7M$6.8M-$22.3M-$35.4M
Depreciation and amortization$19.3M$10.1M$7.0M$4.6M$2.8M
Stock-based compensation$143.7M$115.1M$97.2M$72.2M$47.2M
Capital expenditure$9.6M$13.2M$9.8M$15.4M$2.3M
Free cash flow$61.9M$23.4M-$2.9M-$37.8M-$37.7M
Share repurchases$165,000$0$0
Impairments$80,000$488,000$146,000$34,000$0

Shares outstanding 112.6M · Free float 84.3%

Annual filing data through FY ended January 31, 2026; float as of July 15, 2026.

Coverage