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Backblaze Inc

BLZE

5.157USD

+0.268+5.47%
Market hours ETQuotes delayed by 15 min
282.99MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2020Q4
FY2020Q3
Operating cash flows (indirect method)
Cash flow from continuing operating activities
44.70%4.94M
-31.25%2.23M
2822.94%4.63M
142.52%2.23M
165.81%3.42M
203.47%3.25M
93.06%-170.00K
28.18%-5.24M
-476.78%-5.19M
-28.44%-3.14M
-172.46%-2.45M
---7.29M
---900.00K
-175.13%-2.44M
31.45%3.38M
--3.25M
--2.57M
Net income from continuing operations
15.64%-9.32M
-17.77%-14.38M
20.57%-12.75M
27.82%-10.35M
35.41%-11.05M
15.77%-12.21M
-25.43%-16.05M
-23.86%-14.34M
-36.58%-17.11M
-50.89%-14.49M
-113.58%-12.80M
---11.57M
---12.53M
-181.01%-9.61M
-222.20%-5.99M
---3.42M
---1.86M
Operating gains losses
12.33%7.76M
16.91%7.96M
13.26%7.33M
14.58%7.03M
20.57%6.91M
24.62%6.81M
21.49%6.47M
36.31%6.13M
17.89%5.73M
27.59%5.46M
31.26%5.33M
--4.50M
--4.86M
11.48%4.28M
20.73%4.06M
--3.84M
--3.36M
Other non-cash items
81.37%925.00K
99.41%1.02M
26.37%690.00K
-21.36%508.00K
-21.17%510.00K
-19.78%511.00K
-20.98%546.00K
9.86%646.00K
20.04%647.00K
-54.85%637.00K
21.02%691.00K
--588.00K
--539.00K
706.29%1.41M
259.12%571.00K
--175.00K
--159.00K
Change in working capital
-205.45%-1.61M
-225.78%-1.73M
1714.29%1.27M
75.77%-517.00K
500.00%1.52M
-19.00%1.38M
122.01%70.00K
57.72%-2.13M
-89.65%254.00K
402.49%1.70M
-109.63%-318.00K
---5.05M
--2.45M
-128.66%-562.00K
671.26%3.30M
--1.96M
--428.00K
-Change in receivables
107.43%61.00K
-21.83%931.00K
18.63%-948.00K
-421.62%-193.00K
-1325.37%-821.00K
975.74%1.19M
-254.10%-1.17M
75.33%-37.00K
-1.47%67.00K
29.90%-136.00K
-4600.00%-329.00K
---150.00K
--68.00K
-65.81%-194.00K
-133.33%-7.00K
---117.00K
---3.00K
-Change in prepaid expenses
-94.01%-1.10M
54.19%-601.00K
-9.46%-81.00K
8.99%509.00K
-219.83%-568.00K
-804.83%-1.31M
-221.74%-74.00K
905.17%467.00K
409.80%474.00K
92.48%-145.00K
97.17%-23.00K
---58.00K
---153.00K
-617.16%-1.93M
-15.16%-813.00K
--373.00K
---706.00K
-Change in other current assets
-578.95%-129.00K
-1114.47%-923.00K
28.64%-319.00K
-175.89%-85.00K
-186.36%-19.00K
-108.04%-76.00K
-525.71%-447.00K
180.00%112.00K
-75.82%22.00K
431.58%945.00K
250.00%105.00K
---140.00K
--91.00K
-179.41%-285.00K
-400.00%-70.00K
---102.00K
---14.00K
-Change in other current liabilities
-69.45%970.00K
-91.66%236.00K
12.66%1.62M
217.34%819.00K
231.77%3.17M
7982.86%2.83M
1139.66%1.44M
-62.33%-698.00K
8.75%957.00K
189.74%35.00K
-97.26%116.00K
---430.00K
--880.00K
-108.78%-39.00K
629.78%4.24M
--444.00K
--581.00K
Cash from non-recurring investing activities
Cash from operating activities
44.70%4.94M
-31.25%2.23M
2822.94%4.63M
142.52%2.23M
165.81%3.42M
203.47%3.25M
93.06%-170.00K
28.18%-5.24M
-476.78%-5.19M
-28.44%-3.14M
-172.46%-2.45M
---7.29M
---900.00K
-175.13%-2.44M
31.45%3.38M
--3.25M
--2.57M
Investing cash flow
Net cash from continuing investing activities
-30.55%2.61M
-27.33%2.94M
-15.34%3.44M
-32.28%3.58M
-41.75%3.76M
-35.46%4.05M
-24.18%4.07M
99.77%5.28M
280.94%6.46M
382.48%6.28M
54.09%5.37M
--2.64M
--1.69M
25.82%1.30M
133.76%3.48M
--1.03M
--1.49M
Capital expenditures
-30.18%2.63M
-25.34%3.06M
-16.52%3.60M
-29.55%3.78M
-41.75%3.76M
-34.67%4.10M
-19.69%4.31M
102.72%5.36M
280.72%6.46M
382.48%6.28M
54.00%5.37M
--2.64M
--1.70M
25.58%1.30M
133.89%3.48M
--1.04M
--1.49M
Net cash flow from disposal of fixed assets
11.64%489.00K
78.79%708.00K
-64.15%38.00K
-95.55%72.00K
-85.51%438.00K
-87.96%396.00K
-95.86%106.00K
64.10%1.62M
486.99%3.02M
379.30%3.29M
5.83%2.56M
--986.00K
--515.00K
97.69%686.00K
295.91%2.42M
--347.00K
--611.00K
Net cash flow from intangible asset transactions
-36.11%2.12M
-38.82%2.24M
-14.03%3.41M
-4.34%3.50M
-3.23%3.32M
22.28%3.66M
41.18%3.96M
120.99%3.66M
191.02%3.43M
386.02%2.99M
163.82%2.81M
--1.66M
--1.18M
-10.48%615.00K
21.05%1.06M
--687.00K
--879.00K
Net cash flow from investment products
29.88%-3.52M
139.66%8.70M
-138.31%-3.50M
-50.56%7.42M
-136.47%-5.02M
164.65%3.63M
-67.89%9.12M
1794.92%15.00M
117.25%13.77M
---5.61M
--28.41M
---885.00K
---79.78M
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Net cash flow from other investing activities
----
--0.00
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Cash from non-current investing activities
Net cash flow from investing activities
30.17%-6.13M
1459.57%5.75M
-237.34%-6.94M
-60.50%3.84M
-220.14%-8.78M
96.44%-423.00K
-78.07%5.05M
375.38%9.72M
108.97%7.31M
-813.84%-11.89M
761.53%23.04M
---3.53M
---81.48M
-25.82%-1.30M
-133.76%-3.48M
---1.03M
---1.49M
Financing cash flow
Cash flow from continuous financing activities
-1407.95%-3.98M
2439.80%30.16M
-9.11%-4.01M
-47.49%-3.11M
85.05%-264.00K
3.30%-1.29M
-680.68%-3.68M
-71.27%-2.11M
44.40%-1.77M
-101.28%-1.33M
-113.53%-471.00K
---1.23M
---3.18M
3217.83%104.07M
207.57%3.48M
---3.34M
---3.23M
Net cash flow from debt Issuance/repayment
-6.94%-4.54M
-103.58%-9.43M
-14.64%-5.04M
-20.05%-4.91M
-100.76%-4.25M
-48.08%-4.63M
-138.22%-4.40M
-7.41%-4.09M
37.86%-2.12M
-53.56%-3.13M
-126.36%-1.85M
---3.81M
---3.41M
35.58%-2.04M
316.60%7.01M
---3.16M
---3.23M
Net cash flow from common stock issuance/repurchase
----
--37.43M
----
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--106.95M
----
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Proceeds from stock option exercised by employees
-75.45%1.05M
3.63%2.54M
7.32%1.33M
-16.04%2.09M
397.90%4.28M
36.49%2.45M
-9.59%1.24M
-7.80%2.49M
-3.16%859.00K
443.94%1.79M
--1.38M
--2.71M
--887.00K
--330.00K
--0.00
--0.00
--0.00
Net cash flow from other financing activities
-66.55%-488.00K
-142.89%-383.00K
41.84%-303.00K
42.33%-297.00K
42.44%-293.00K
--893.00K
---521.00K
-296.15%-515.00K
22.64%-509.00K
100.00%0.00
100.00%0.00
---130.00K
---658.00K
-564.77%-1.17M
---3.53M
---176.00K
--0.00
Net cash from non-recurrent financing activities
Net cash from financing activities
-1407.95%-3.98M
2439.80%30.16M
-9.11%-4.01M
-47.49%-3.11M
85.05%-264.00K
3.30%-1.29M
-680.68%-3.68M
-71.27%-2.11M
44.40%-1.77M
-101.28%-1.33M
-113.53%-471.00K
---1.23M
---3.18M
3217.83%104.07M
207.57%3.48M
---3.34M
---3.23M
Net cash flow
Beginning cash balance
175.26%45.78M
-49.44%7.63M
0.48%13.96M
-4.48%11.00M
48.95%16.63M
-45.16%15.09M
87.52%13.89M
-40.81%11.52M
-89.37%11.16M
487.66%27.53M
--7.41M
--19.46M
--105.01M
-34.90%4.68M
--0.00
--7.20M
--0.00
Current period cash flow changes
8.15%-5.17M
2383.33%38.14M
-624.30%-6.32M
24.59%2.95M
-1699.15%-5.63M
109.39%1.54M
-94.01%1.21M
119.67%2.37M
100.41%352.00K
-116.31%-16.36M
495.62%20.12M
---12.05M
---85.55M
9065.86%100.33M
256.90%3.38M
---1.12M
---2.15M
Effect of exchange rate changes
----
--45.78M
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Ending cash balance
269.11%40.61M
175.26%45.78M
-49.44%7.63M
0.48%13.96M
-4.48%11.00M
48.95%16.63M
-45.16%15.09M
87.52%13.89M
-40.81%11.52M
-89.37%11.16M
714.86%27.53M
--7.41M
--19.46M
1628.31%105.01M
256.90%3.38M
--6.08M
---2.15M
Free cash flow
771.59%2.32M
2.81%-829.00K
123.01%1.03M
85.38%-1.55M
97.04%-345.00K
90.94%-853.00K
42.69%-4.48M
-6.65%-10.60M
-348.69%-11.65M
-151.43%-9.42M
-7416.35%-7.82M
---9.94M
---2.60M
-268.92%-3.75M
-109.61%-104.00K
--2.22M
--1.08M
Currency unit
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