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Backblaze, Inc. BLZE Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$26.28M-35.3%$29.18M-36.3%$29.08M+886%$32.19M+247%$40.61M+543%
$19.21M+52.1%$22.2M+143%$21.2M+18.2%$18.35M+27.7%$12.63M-42.2%
$4.26M+141%$3.48M+90.2%$3.36M+21.7%$3.24M+78.6%$1.77M+9.2%
$5.69M-43.2%$4.2M-53.4%$4.18M-49.3%$3.26M-60.5%$10.01M+12.0%
$62.84M-3.4%$65.69M-0.1%$64.99M+104%$64.45M+91.2%$65.02M+67.9%
$61.31M+34.3%$57.31M+33.4%$55.76M+34.2%$49.94M+21.7%$45.66M+7.2%
$111.49M+11.3%$107.77M+11.9%$105.03M+13.4%$102.5M+16.4%$100.14M+18.2%
$172.8M+18.5%$165.08M+18.5%$160.79M+19.9%$152.43M+18.0%$145.8M+14.6%
6.9%-0.1%6.9%-1,587,299,993%6.9%-0.1%6.9%-0.3%7%-0.2%
$6.27M+164%$5.29M+142%$4.4M+222%$3.6M+243%$2.37M+146%
$19.21M
$192.67M+13.2%$191.83M+13.8%$191.53M+40.6%$186.05M+45.6%$170.16M+29.0%
$31M-1.1%$30.5M+0.3%$30.39M+0.8%$30.53M+3.7%$31.36M+9.3%
$4.53M+27.5%$5.25M+30.5%$4.97M+29.1%$4.97M+198%$3.55M+96.5%
$36.31M+627%$35.9M+597%$5.47M+4.9%$5.11M+11.0%$5M+10.0%
$59.94M+0.8%$61.62M+3.0%$59.28M+0.1%$59.91M+8.8%$59.48M+6.9%
$19.02M+60.8%$20.17M+57.0%$21.25M+70.8%$22.2M+193%$11.83M+48.7%
$38.48M+26.9%$35.7M+33.4%$34.73M+38.9%$32.98M+40.3%$30.32M+27.1%
$23.55M$25.42M+50.7%$26.22M+60.9%$27.17M+194%
$38.48M+26.9%$35.7M+33.4%$34.73M+38.9%$32.98M+40.3%$30.32M+27.1%
$108.02M+16.9%$108.61M+19.4%$108.7M+16.4%$106.4M+28.7%$92.4M+9.4%
$0$0$0$0$0
$315.17M+11.3%$306.8M+12.1%$300.19M+33.8%$292.04M+36.5%$283.07M+37.4%
-$227.74M-10.9%-$221.6M-13.1%-$216.18M-19.0%-$212.41M-25.8%-$205.31M-29.5%
$2.79M$1.98M$1.19M
$84.64M+8.8%$83.22M+7.2%$82.83M+93.4%$79.64M+76.6%$77.77M+63.9%
$192.67M+13.2%$191.83M+13.8%$191.53M+40.6%$186.05M+45.6%$170.16M+29.0%
$19.2M+31.3%$21.21M+18.3%$18.36M+27.8%$14.62M-33.0%
$19.21M+52.1%$22.2M+143%$21.2M$18.35M$12.63M
$7.41M$6.63M+19.6%$7.17M$7.41M
$4M+21.2%$3.7M+27.6%$3.5M+34.6%$3.6M+44.1%$3.3M+34.1%
$31.15M+54.0%$28.16M+58.4%$25.29M+61.5%$22.66M+64.7%$20.23M+65.7%
$72M+15.4%$68.98M+15.8%$66.75M+17.7%$64.85M+24.5%$62.38M+30.9%
$6.27M+164%$5.29M+142%$4.4M+222%$3.6M+243%$2.37M+146%
$0$0$0$0
$0$0$0$0
$0$0$0$0
$0$0$0$0
$21.4M+43.0%$22.71M+43.1%$24.93M+58.5%$25.87M+189%$14.97M+58.0%
$40.86M-3.1%$40.83M-2.3%$41.46M+1.0%$42.18M+10.0%$42.15M+18.9%
$21.4M+43.0%$22.71M+43.1%$24.93M+58.5%$25.87M+189%$14.97M+58.0%
$6.27M+164%$5.29M+142%$4.4M+222%$3.6M+243%$2.37M+146%
$61.31M+34.3%$57.31M+33.4%$55.76M+34.2%$49.94M+21.7%$45.66M+7.2%
$21.4M+43.0%$22.71M+43.1%$24.93M+58.5%$25.87M+189%$14.97M+58.0%
$72M+15.4%$68.98M+15.8%$66.75M+17.7%$64.85M+24.5%$62.38M+30.9%
$9.23M+12.5%$10.99M+21.6%$8.71M$9.16M$8.2M
$15.18M-7.2%$14.87M-8.9%$15.21M-7.9%$15.25M-10.0%$16.36M-5.7%
$46.51M+35.9%$40.99M+47.9%$37.77M+46.0%$34.22M+30.8%
$8.03M+106%$6.26M+131%$4.79M+103%$3.89M+69.2%
$4.54M$1.44M-3.3%$3.22M+165%
$15.63M+28.9%$16.48M+26.0%$14.63M+36.0%$12.12M+30.1%
$5.25M$5.6M+38.9%$5.44M+165%
$3.16M$4.16M+37.7%$4.16M+101%
$7.81M-2.7%$12.16M+70.2%$10.38M+108%$8.02M+123%
$4.15M+348%$5.27M+73.1%$5.26M+149%$927K+163%
$3.16M+2,536%$4.16M+37.7%$4.16M+101%$120K
$14.44M+10.9%$4.95M-2.3%$9.19M+0.9%$13.02M+1.0%
$28.2M$31.74M+67.1%$33.11M+201%
$4.66M$5.52M+105%$5.95M+238%
$0$0$0$0
$100K$900K$700K
$800K+14.3%$2.2M$1.9M$700K
$0$0$0$0
$4.15M$5.27M+73.1%$5.26M+149%
$3.16M$4.16M+37.7%$4.16M+101%
$62.03M+35.7%$61.12M+40.1%$60.96M+47.6%$60.15M+83.7%$45.7M+35.9%
$1.27M-80.1%$18.14M+19.7%$7.4M-52.6%$6.39M-84.1%
10M0.0%10M0.0%10M10M10M
00000
00000
$0$0$0$0$0
$1.27M-80.1%$18.14M+20.8%$7.4M-51.8%$6.39M-83.1%
$0.00-90.0%$0.00-90.0%$0.00$0.00$0.00
4.2M-28.1%4.5M-29.5%4.8M-30.5%5.5M-26.4%5.9M-24.2%
$7.2M$8.8M
$7.2M$8.8M
$8.50+16.9%$8.11+25.5%$7.73+26.9%$7.27+24.1%
$8.50+11.3%$8.42+15.7%$8.18+14.2%$7.93+13.1%$7.64+10.1%
0-100%001
$4.13M+105%$2.01M-42.6%$2.01M-42.6%$2.01M-42.6%
$3.07M$3.08M$2.97M
$36.31M-0.1%$35.9M+1.0%$35.72M+1.1%$35.51M+4.3%$36.35M+9.4%
$5.44M$5.53M+7.4%
$4.51M$6.72M$6.69M
$7.76M$2.87M$5.44M
$3.23M$1.43M$2.23M
$4.51M$6.72M$6.69M
$8.32M$8.68M$8.42M
$6.7M$8.35M$8.24M
$7.76M$2.87M$5.44M
$5.63M$10.15M$10.15M
$23.63M+46.8%$21.29M+62.0%$20.25M+70.5%$19.18M+78.2%$16.1M+38.8%
$6.85M+639%$4.32M+77.5%$2.64M+163%$927K+163%
$1.65M+1,278%$3.08M$933K$120K
$7.81M-2.7%$12.16M+70.2%$10.38M+108%$8.02M+123%
$8.04M+101%$6.28M+106%$4.83M+69.9%$4.01M+34.6%
$46.85M+28.5%$41.74M+32.7%$39.26M+28.5%$36.47M+14.2%
$14.78M-3.2%$5.45M-7.2%$10.69M-1.9%$15.28M-3.0%
$38.81M+19.6%$35.46M+24.9%$34.43M+24.2%$32.46M+12.1%
$123K
$15.63M+28.9%$16.73M+4.6%$14.63M+7.0%$12.12M-0.9%
$46.51M+35.9%$40.99M+47.9%$37.77M+46.0%$34.22M+30.8%
$15.63M+28.9%$16.48M+26.0%$14.63M+36.0%$12.12M+30.1%
$1.65M+1,278%$3.08M$933K$120K
$6.85M+639%$4.32M+77.5%$2.64M+163%$927K+163%
$7.81M-2.7%$12.16M+70.2%$10.38M+108%$8.02M+123%
$123K
$8.03M+106%$6.26M+131%$4.79M+103%$3.89M+69.2%
$0$0$0$0
$0$0$0$0
$0$0$0$0
$19.21M+31.4%$21.2M+18.2%$18.35M+27.7%$14.62M-33.1%
$19.21M+31.4%$21.2M+18.2%$18.35M+27.7%$14.62M-33.1%
$28.2M$31.74M+67.1%$33.11M+201%
$5.53M$8.69M+205%$8.69M+487%
$4.66M$5.52M+105%$5.95M+238%
$328K-84.7%$726K-78.6%$1.45M-65.5%$2.14M-58.0%
$0$0$0$0
$0
$339K-84.9%$751K-79.8%$1.5M-68.1%$2.25M-60.9%
$0$0$0$0
$0$0$0$0
$339K-84.9%$502K-37.5%$1.5M-15.8%$2.25M-21.0%
$0$249K-91.5%
$11K-90.3%$25K-92.6%$47K-90.4%$113K-83.3%
$0.07-1.4%$0.07-4.2%$0.07-1.4%$0.07-4.2%$0.07-2.8%
$13.37M$15.7M$16.16M
$108K$1.46M$1.46M
$3.23M$1.43M$2.23M
$0-90.0%$0-90.0%$0$0$0
$10M0.0%$10M0.0%$10M$10M$10M
$0$0$0$0$0
$0$0$0$0$0
$5.69M$4.2M+21.3%$4.18M+62.7%$3.26M+16.5%
$82.71M+36.4%$80.02M+36.0%$80.68M+40.9%$75.81M+51.6%$60.63M+16.5%
$42.9M-4.5%$39.5M$46.1M+19.4%$44.9M+19.1%$44.9M+25.1%
$4.24M-28.1%$4.5M-29.5%$4.78M-30.5%$5.48M-26.4%$5.89M-24.2%
$8.5+11.3%$8.42+15.7%$8.18+14.2%$7.93+13.1%$7.64+10.1%
$1.27M-80.1%$18.14M+20.8%$7.4M-51.8%$6.39M-83.1%
$1.27M-80.1%$18.14M+19.7%$7.4M-52.6%$6.39M-84.1%
$7.2M$8.8M
$445.78K$256.55K$142.07K
$4M+21.2%$3.7M+27.6%$3.5M+34.6%$3.6M+44.1%$3.3M+34.1%
$1.9M+138%$500K+66.7%$1.2M+71.4%$800K0.0%
$13.37M$15.7M$16.16M
$4.54M-65.2%$1.44M-3.3%$3.22M+165%$13.02M+1.0%
$2.3M+76.9%$2.8M+100%$2.7M-38.6%$1.3M+160%
12.9%+1.2%12.6%+0.7%12.3%+1.0%11.9%+0.5%11.7%+0.3%
$0.13+10.3%$0.13+5.9%$0.12+8.8%$0.12+4.4%$0.12+2.6%

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Questions, answered.

What are Backblaze, Inc.'s total assets?
Backblaze, Inc. (BLZE) holds $192.7M in total assets, up 13.2% year over year.
How much debt does Backblaze, Inc. have?
Backblaze, Inc. carries $62.0M in total debt against $84.6M of shareholders' equity, a debt-to-equity ratio of 0.73.
How much cash does Backblaze, Inc. have?
Backblaze, Inc. holds $26.3M in cash and equivalents.
Can Backblaze, Inc. cover its short-term obligations?
Its current ratio is 1.05 — current assets exceed current liabilities.
Where does Backblaze, Inc.'s balance sheet data come from?
Every line is extracted from Backblaze, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.