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Backblaze, Inc. BLZE Cash Flow Statement

FY'25FY'24FY'23FY'22
-$25.61M+47.2%-$48.53M+18.7%-$59.71M-16.2%-$51.4M-137%
$25.59M-9.7%$28.33M+13.7%$24.91M+23.6%$20.15M+23.5%
$26.44M-7.7%$28.63M+13.7%$25.18M+47.7%$17.05M+203%
$1.16M+29.1%$898K+287%$232K
$363K$292K+889%-$37K
$1.65M$547K+447%
$948K-$970K-142%
$445K+17.4%$379K-87.9%
$686K+67.7%$409K
$5.51M
$4.94M+81.3%$2.73M+16.0%$2.35M-4.4%$2.46M
-$4.47M-72.6%-$2.59M-5.0%-$2.46M+3.3%-$2.55M
$23.54M+88.3%$12.51M-$13.78M
$4.69M+174%$1.71M-69.0%$5.51M-25.0%$7.35M-2.8%
$455K$0
-$25.34M$22.08M
$0
$5.34M-28.6%$7.48M+58.8%$4.71M+10.7%$4.25M
$1.92M$0$130K
$602K$0$0
-$14.8M-165%$22.77M+358%-$8.84M-42.3%-$6.21M-106%
-$16.7M-157%$29.15M+433%$5.47M
$3.74M+4.4%$3.58M-4.1%$3.73M-1.1%$3.78M+7.1%
$1.16M+29.1%$898K+287%$232K
$948K-$970K-142%
-$4.47M-72.6%-$2.59M-5.0%-$2.46M+3.3%-$2.55M
$1.35M+246%$389K+139%-$1M-285%
$445K+17.4%$379K-87.9%
$4.94M+81.3%$2.73M+16.0%$2.35M-4.4%$2.46M
$7.56M-39.3%$12.47M-15.3%$14.72M+70.4%$8.63M+138%
$455K$0
$602K$0$0
$383K$0
$18.16M-6.9%$19.5M0.0%$19.51M+18.3%$16.49M+35.7%
$0$0-100%$893K$0
$0-100%$37.43M$0$0-100%
$5.51M
-$4.47M-72.6%-$2.59M-5.0%-$2.46M+3.3%-$2.55M
$18.85M+74.6%$10.79M-$21.13M
$18.85M+74.6%$10.79M-$21.13M

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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.