7Baggers

Braze Quarterly Income Statements Chart

Quarterly
 | 
Annual
 
 Revenue  
 Gross Profit  
 Operating Profit  
 Net Income  
20211031 20220131 20220430 20220731 20221031 20230131 20230430 20230731 20231031 20240131 20240430 20240731 20241031 20250131 20250430 20250731 -43.34-11.4220.552.4284.34116.27148.19180.11Milllion

Braze Quarterly Income Statements Table

Quarterly
 | 
Annual
 
Unit: USD2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 
                  
  revenue180,111,000 162,059,000 160,400,000 152,052,000 145,499,000 135,459,000 130,957,000 123,956,000 115,107,000 101,780,000 98,675,000 93,125,000 86,131,000 77,495,000 70,434,000 63,968,000 
  yoy23.79% 19.64% 22.48% 22.67% 26.40% 33.09% 32.72% 33.11% 33.64% 31.34% 40.10% 45.58%     
  qoq11.14% 1.03% 5.49% 4.50% 7.41% 3.44% 5.65% 7.69% 13.09% 3.15% 5.96% 8.12% 11.14% 10.02% 10.11%  
  cost of revenue58,221,000 50,857,000 49,313,000 45,910,000 43,420,000 44,548,000 42,992,000 36,374,000 35,474,000 32,687,000 33,425,000 29,135,000 27,352,000 25,906,000 24,775,000 19,174,000 
  gross profit121,890,000 111,202,000 111,087,000 106,142,000 102,079,000 90,911,000 87,965,000 87,582,000 79,633,000 69,093,000 65,250,000 63,990,000 58,779,000 51,589,000 45,659,000 44,794,000 
  yoy19.41% 22.32% 26.29% 21.19% 28.19% 31.58% 34.81% 36.87% 35.48% 33.93% 42.91% 42.85%     
  qoq9.61% 0.10% 4.66% 3.98% 12.28% 3.35% 0.44% 9.98% 15.25% 5.89% 1.97% 8.87% 13.94% 12.99% 1.93%  
  gross margin %67.67% 68.62% 69.26% 69.81% 70.16% 67.11% 67.17% 70.66% 69.18% 67.88% 66.13% 68.71% 68.24% 66.57% 64.83% 70.03% 
  operating expenses:                
  sales and marketing82,599,000 74,127,000 69,262,000 74,658,000 68,569,000 69,827,000 63,051,000 66,395,000 60,417,000 57,262,000 52,792,000 52,841,000 50,007,000 46,044,000 45,726,000 29,568,000 
  research and development41,250,000 36,797,000 33,600,000 32,855,000 33,141,000 34,373,000 31,114,000 29,872,000 29,132,000 29,745,000 26,754,000 25,583,000 23,336,000 21,620,000 22,904,000 12,738,000 
  general and administrative36,794,000 40,500,000 29,784,000 31,199,000 28,319,000 26,791,000 26,093,000 26,448,000 25,453,000 23,983,000 22,224,000 22,430,000 20,543,000 23,574,000 19,617,000 12,936,000 
  total operating expenses160,643,000 151,424,000 132,646,000 138,712,000 130,029,000 130,991,000 120,258,000 122,715,000 115,002,000 110,990,000 101,770,000 100,854,000 93,886,000 91,238,000 88,247,000 55,242,000 
  income from operations-38,753,000 -40,222,000 -21,559,000 -32,570,000 -27,950,000 -40,080,000 -32,293,000 -35,133,000 -35,369,000 -41,897,000 -36,520,000 -36,864,000 -35,107,000 -39,649,000 -42,588,000 -10,448,000 
  yoy38.65% 0.35% -33.24% -7.30% -20.98% -4.34% -11.57% -4.70% 0.75% 5.67% -14.25% 252.83%     
  qoq-3.65% 86.57% -33.81% 16.53% -30.26% 24.11% -8.08% -0.67% -15.58% 14.72% -0.93% 5.00% -11.46% -6.90% 307.62%  
  operating margin %-21.52% -24.82% -13.44% -21.42% -19.21% -29.59% -24.66% -28.34% -30.73% -41.16% -37.01% -39.59% -40.76% -51.16% -60.47% -16.33% 
  other income3,983,000 5,652,000 5,589,000 5,294,000 5,503,000 5,171,000 4,354,000 4,542,000 3,865,000 3,459,000 3,637,000 2,581,000 1,729,000 30,000 329,000 -236,000 
  income before benefit from income taxes-34,770,000 -34,570,000 -15,970,000 -27,276,000 -22,447,000 -34,909,000 -27,939,000 -30,591,000 -31,504,000 -38,438,000   -33,378,000 -39,619,000 -42,226,000 -10,666,000 
  (benefit from) benefit from income taxes-7,007,000              1,117,000 -1,608,000 
  net income-27,763,000 -35,641,000 -17,064,000 -28,127,000 -23,149,000 -35,707,000 -28,578,000 -30,976,000 -32,049,000 -38,826,000 -33,808,000 -33,892,000 -33,413,000 -39,633,000 -43,343,000 -9,058,000 
  yoy19.93% -0.18% -40.29% -9.20% -27.77% -8.03% -15.47% -8.60% -4.08% -2.04% -22.00% 274.17%     
  qoq-22.10% 108.87% -39.33% 21.50% -35.17% 24.95% -7.74% -3.35% -17.45% 14.84% -0.25% 1.43% -15.69% -8.56% 378.51%  
  net income margin %-15.41% -21.99% -10.64% -18.50% -15.91% -26.36% -21.82% -24.99% -27.84% -38.15% -34.26% -36.39% -38.79% -51.14% -61.54% -14.16% 
  net income attributable to redeemable non-controlling interest136,000 145,000 128,000 -216,000 -150,000 -66,000 -301,000 -235,000 -355,000 -372,000 -357,000 -532,000 -527,000 -364,000 -408,000 -336,000 
  net income attributable to braze, inc.-27,899,000 -35,786,000 -17,192,000 -27,911,000 -22,999,000 -35,641,000 -28,277,000 -30,741,000 -31,694,000 -38,454,000 -33,451,000 -33,360,000 -32,886,000 -39,269,000 -42,935,000 -8,722,000 
  net income per share-0.26 -0.34 -0.17 -0.27 -0.23 -0.35 -0.29 -0.31 -0.33 -0.4 -0.35 -0.35 -0.35 -0.42 -0.53 -0.42 
  weighted-average shares used for eps calculation106,807 104,572 102,189 102,146 101,449 100,788 98,096 97,880 97,180 96,353 94,569 94,469 94,103 93,250 34,897 20,717 
  benefit from income taxes 1,071,000 1,094,000 851,000 702,000 798,000 639,000 385,000 545,000 388,000   35,000 14,000   
  operating expenses                
  income before benefit for income taxes          -26,820,000 -34,283,000     
  benefit for income taxes          -85,500 -391,000     
  other income:                
  investment income              33,000 18,000 

We provide you with 20 years income statements for Braze stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as earnings, sales and marketing expenses, research and development costs, profits, and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Braze stock. Explore the full financial landscape of Braze stock with our expertly curated income statements.

The information provided in this report about Braze stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.