7Baggers

Freshworks Quarterly Income Statements Chart

Quarterly
 | 
Annual
 
 Revenue  
 Gross Profit  
 Operating Profit  
 Net Income  
20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 -140.25-90.98-41.77.5756.85106.13155.4204.68Milllion

Freshworks Quarterly Income Statements Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 
                  
  revenue204,678,000 196,273,000 194,571,000 186,575,000 174,131,000 165,143,000 160,111,000 153,550,000 145,079,000 137,692,000 133,170,000 128,760,000 121,432,000 114,637,000 105,480,000 96,614,000 
  yoy17.54% 18.85% 21.52% 21.51% 20.02% 19.94% 20.23% 19.25% 19.47% 20.11% 26.25% 33.27%     
  qoq4.28% 0.87% 4.29% 7.15% 5.44% 3.14% 4.27% 5.84% 5.36% 3.40% 3.42% 6.03% 5.93% 8.68% 9.18%  
  cost of revenue31,142,000 29,878,000 29,459,000 29,806,000 28,175,000 25,890,000 27,009,000 26,263,000 24,861,000 25,236,000 25,156,000 24,179,000 24,042,000 22,395,000 20,398,000 22,236,000 
  gross profit173,536,000 166,395,000 165,112,000 156,769,000 145,956,000 139,253,000 133,102,000 127,287,000 120,218,000 112,456,000 108,014,000 104,581,000 97,390,000 92,242,000 85,082,000 74,378,000 
  yoy18.90% 19.49% 24.05% 23.16% 21.41% 23.83% 23.23% 21.71% 23.44% 21.91% 26.95% 40.61%     
  qoq4.29% 0.78% 5.32% 7.41% 4.81% 4.62% 4.57% 5.88% 6.90% 4.11% 3.28% 7.38% 5.58% 8.42% 14.39%  
  gross margin %84.78% 84.78% 84.86% 84.02% 83.82% 84.32% 83.13% 82.90% 82.86% 81.67% 81.11% 81.22% 80.20% 80.46% 80.66% 76.98% 
  operating expense:                
  research and development39,943,000 40,001,000 41,028,000 47,885,000 40,993,000 34,684,000 35,834,000 34,885,000 34,180,000 32,857,000 34,658,000 35,871,000 34,297,000 30,717,000 29,030,000 57,087,000 
  sales and marketing95,223,000 89,158,000 90,674,000 101,253,000 104,248,000 94,642,000 92,323,000 90,673,000 87,975,000 86,810,000 94,838,000 86,865,000 90,038,000 71,466,000 72,190,000 96,785,000 
  general and administrative47,026,000 47,247,000 47,538,000 46,495,000 44,502,000 42,094,000 44,986,000 40,464,000 41,352,000 40,896,000 39,126,000 40,133,000 40,407,000 37,183,000 40,237,000 60,759,000 
  restructuring charges 405,000               
  total operating expenses182,192,000 176,811,000 188,904,000 195,633,000 189,743,000 171,420,000 173,143,000 166,022,000 163,507,000 160,563,000 168,622,000 162,869,000 164,742,000 139,366,000 141,457,000 214,631,000 
  income from operations-8,656,000 -10,416,000 -23,792,000 -38,864,000 -43,787,000 -32,167,000 -40,041,000 -38,735,000 -43,289,000 -48,107,000 -60,608,000 -58,288,000 -67,352,000 -47,124,000 -56,375,000 -140,253,000 
  yoy-80.23% -67.62% -40.58% 0.33% 1.15% -33.13% -33.93% -33.55% -35.73% 2.09% 7.51% -58.44%     
  qoq-16.90% -56.22% -38.78% -11.24% 36.12% -19.66% 3.37% -10.52% -10.02% -20.63% 3.98% -13.46% 42.93% -16.41% -59.80%  
  operating margin %-4.23% -5.31% -12.23% -20.83% -25.15% -19.48% -25.01% -25.23% -29.84% -34.94% -45.51% -45.27% -55.46% -41.11% -53.45% -145.17% 
  interest and other income12,547,000 12,969,000 7,802,000 13,929,000 13,247,000 12,795,000 14,715,000 10,993,000 11,216,000 9,479,000 9,973,000 2,249,000 -242,000 602,000 -125,000 22,923,000 
  income before income taxes3,891,000 2,553,000 -15,990,000 -24,935,000 -30,540,000 -19,372,000 -25,326,000 -27,742,000 -32,073,000 -38,628,000 -50,635,000 -56,039,000 -67,594,000 -46,522,000 -56,500,000 -117,330,000 
  benefit from income taxes5,630,000 3,857,000 5,910,000 5,024,000 -10,356,000 3,953,000 2,755,000 3,291,000 3,585,000 4,036,000 4,842,000 1,804,000 2,159,000 2,537,000   
  net income-1,739,000 -1,304,000 -21,900,000 -29,959,000 -20,184,000 -23,325,000 -28,081,000 -31,033,000 -35,658,000 -42,664,000 -55,477,000 -57,843,000 -69,753,000 -49,059,000 -74,736,000 -107,415,000 
  yoy-91.38% -94.41% -22.01% -3.46% -43.40% -45.33% -49.38% -46.35% -48.88% -13.04% -25.77% -46.15%     
  qoq33.36% -94.05% -26.90% 48.43% -13.47% -16.94% -9.51% -12.97% -16.42% -23.10% -4.09% -17.07% 42.18% -34.36% -30.42%  
  net income margin %-0.85% -0.66% -11.26% -16.06% -11.59% -14.12% -17.54% -20.21% -24.58% -30.99% -41.66% -44.92% -57.44% -42.80% -70.85% -111.18% 
  net income per share-0.01  -0.08 -0.1 -0.07 -0.08 -0.1 -0.11 -0.12 -0.15 -0.2 -0.2 -0.24 -0.18 11.23 -24.72 
  weighted-average shares used for eps calculation294,435 301,280 300,843 302,096 299,805 297,870 293,087 294,146 291,995 290,133 284,587 286,697 284,761 278,186 130,652 95,930 
  accretion of redeemable convertible preferred stock               -2,264,838,000 
  net income attributable to common stockholders - basic and diluted          -44,163,750 -57,843,000 -69,753,000  -690,980,250 -2,372,253,000 
  decretion of redeemable convertible preferred stock                
  undistributed earnings allocated to preferred stockholders                
  net income attributable to common stockholders - basic             -49,059,000   
  net income attributable to common stockholders - diluted             -49,059,000   
  (benefit from) benefit from income taxes              -1,930,000 -9,915,000 

We provide you with 20 years income statements for Freshworks 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 Freshworks stock. Explore the full financial landscape of Freshworks stock with our expertly curated income statements.

The information provided in this report about Freshworks 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.