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Backblaze, Inc. BLZE Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$6.15M-13.6%-$5.41M-43.3%-$3.78M+46.8%-$7.1M+23.9%-$9.32M+35.1%
$6.74M+6.8%$6.31M+4.4%$6.04M+10.4%$5.47M-29.5%$7.76M+10.0%
$6.9M+9.1%$6.33M+16.2%$5.45M-25.5%$7.3M-0.7%$7.36M-19.4%
$289.75K0.0%$289.75K0.0%$289.75K0.0%$289.75K+29.1%
$13K$0-100%$115K+55.4%$74K-57.5%$174K
$779K+549%$120K-1.6%$122K-91.7%$1.47M+2,510%-$61K
$111K-9.8%$123K$242K+21.6%$199K-59.7%
$2.28M$877K$1.1M+247%
-$35K-113%$261K+1,350%$18K-92.3%$235K+36.6%$172K+34.4%
$415K+137%$175K-16.7%$210K$798K+289%
$1.31M-17.0%$1.58M+12.7%$1.4M+34.8%$1.04M+12.3%$925K-9.2%
-$1.82M-81.4%-$1M+26.5%-$1.37M-177%-$493K+69.3%-$1.61M-21.5%
$3.36M-63.9%$9.31M+62.2%$5.74M+62.0%$3.55M-28.3%$4.94M+121%
$651K+146%$265K-91.6%$3.14M+301%$784K+55.9%$503K-39.1%
$17K$14K-87.7%
$289K+109%-$3.12M+58.6%-$7.53M+12.0%-$8.56M-39.5%-$6.13M
$809K+1.4%$798K$0
$351K-40.7%$592K-79.2%$2.85M+238%$844K-19.6%$1.05M-7.1%
$1.78M+449%$324K-58.1%$774K+114%$361K-21.2%$458K
-$89K$0
$0$0-100%$48K-91.0%$534K+2,570%$20K
-$6.56M-7.7%-$6.09M-361%-$1.32M+61.2%-$3.41M+14.4%-$3.98M-113%
-$2.91M$0+100%-$3.11M+63.1%-$8.42M-62.8%-$5.17M-114%
$1.13M+1.5%$1.11M+19.3%$932K+7.7%$865K+4.3%$829K-6.5%
$289.75K0.0%$289.75K0.0%$289.75K0.0%$289.75K+29.1%
$111K-9.8%$123K$242K+21.6%$199K-59.7%
-$1.82M-81.4%-$1M+26.5%-$1.37M-177%-$493K+69.3%-$1.61M-21.5%
$1.05M$129K-86.0%
$2.28M$1.1M+83.4%
$1.31M-17.0%$1.58M+12.7%$1.4M+34.8%$1.04M+12.3%$925K-9.2%
$2.11M+26.2%$1.67M-1.9%$1.71M-17.2%$2.06M-2.9%$2.12M-5.1%
$17K$14K-87.7%
$0$0-100%$48K-91.0%$534K+2,570%$20K
$0$10K0.0%$10K-97.4%
$4.23M-0.8%$4.27M-7.7%$4.62M-2.4%$4.73M+4.2%$4.54M-4.3%
$0$0$0$0
$0$0$0$0-100%
-$89K$0
$227K$42K
$415K+137%$175K-16.7%$210K$798K+289%
-$1.82M-81.4%-$1M+26.5%-$1.37M-177%-$493K+69.3%-$1.61M-21.5%
$2.71M-70.1%$9.05M+248%$2.6M-5.8%$2.76M-37.8%$4.44M+216%
$2.71M-70.1%$9.05M+248%$2.6M-5.8%$2.76M-37.8%$4.44M+216%

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Questions, answered.

How much cash does Backblaze, Inc. generate?
Backblaze, Inc. (BLZE) generated $22.0M in operating cash flow over the trailing twelve months.
What is Backblaze, Inc.'s free cash flow?
After $4.8M of capital expenditures, Backblaze, Inc.'s free cash flow was $17.1M over the trailing twelve months, up 39.9% year over year.
Where does Backblaze, Inc.'s cash flow 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.