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Braze, Inc. BRZE Cash Flow Statement

Q1 '27Q4 '26Q3 '26Q2 '26Q1 '26
-$25.49M+19.3%-$31.58M+11.8%-$35.8M-28.9%-$27.76M+22.1%-$35.64M-109%
$6.28M$2.61M
$35.8M-5.1%$37.71M-0.3%$37.83M+0.7%$37.56M+22.6%$30.64M+9.6%
-$263K$0
$20K0.0%$20K0.0%$20K0.0%$20K-83.6%
-$78K-533%$18K-62.5%$48K-87.0%$368K+58.6%$232K+33.3%
-$3.85M-112%$32.21M+1,471%$2.05M+184%-$2.44M+73.2%-$9.11M-277%
$3.83M+296%-$1.96M-178%$2.51M+1,489%-$181K+81.5%-$978K-66.9%
-$20.89M-203%$20.26M+330%$4.72M-44.0%$8.42M+217%-$7.2M-553%
$805K$416K-94.8%$8.05M+1,897%$403K
-$3.29M-$132K-9.1%-$121K-12,000%-$1K
$6K-95.8%$144K+414%$28K+176%-$37K-511%$9K-94.1%
$38.21M+15.2%$33.17M+250%$9.47M$24.55M+50.0%
-$78K+39.5%-$129K+23.2%-$168K+34.1%-$255K+36.1%-$399K+15.8%
$12.28M+8.3%$11.34M+8.1%$10.48M+4.5%$10.03M+6.5%$9.42M+4.6%
$28.13M+45.2%$19.38M-7.6%$20.97M+202%$6.95M-71.2%$24.14M+41.3%
$108K-97.8%$4.82M+148%$1.94M-25.6%$2.61M+1,102%$217K-80.0%
$26.66M-32.9%$39.72M+7.9%$36.8M+61.8%$22.75M-56.6%$52.36M+36.3%
$35.87M-4.9%$37.71M+7.9%$34.96M-11.1%$39.33M-37.8%$63.22M+74.3%
$42.8M+673%-$7.46M-30.2%-$5.73M+96.4%-$160.55M-231%$122.84M+14,706%
$50M$0
$310K-97.3%$11.58M+970%$1.08M-58.3%$2.6M+329%$605K-81.2%
-$49.69M-460%$13.8M+1,175%$1.08M-85.5%$7.48M+1,136%$605K-90.2%
-$285K-135%$820K$851K+227%
$20.95M-21.0%$26.53M+64.7%$16.11M$148.44M+582%
$2.18M+318%$523K+717%$64K-92.4%$843K-65.8%$2.47M+478%
-$78K+39.5%-$129K+23.2%-$168K+34.1%-$255K+36.1%-$399K+15.8%
$20K0.0%$20K0.0%$20K0.0%$20K-83.6%
$0$0$0$0-100%
$12.28M+8.3%$11.34M+8.1%$10.48M+4.5%$10.03M+6.5%$9.42M+4.6%
$18.25K0.0%$18.25K0.0%$18.25K0.0%$18.25K-92.9%
-$288K$398K-$227K
$15.34M-41.1%$26.03M+80.8%$14.4M+11.3%$12.94M+9.0%$11.87M-11.5%
-$3.29M-$132K-9.1%-$121K-12,000%-$1K
$6.96M-$2.93M-54.9%-$1.89M+40.0%-$3.15M-160%
-$273K-155%$499K+55.9%$320K$0-100%$410K
$500K-27.6%$691K+2.8%$672K-10.5%$751K-32.3%$1.11M+9.6%
-$78K-533%$18K-62.5%$48K-87.0%$368K+58.6%$232K+33.3%
$1.23M+84.5%$665K-46.6%$1.25M+53.8%$810K-23.2%$1.06M+33.4%
$35.87M-4.9%$37.71M+7.9%$34.96M-11.1%$39.33M-37.8%$63.22M+74.3%
$283K+137%-$756K-75,700%$1K+103%-$39K-107%$535K
-$1.3M$0-100%$803K+159%-$1.36M-229%$1.05M
$263K$0
$0$0$0$0
$272K$0
$9K0.0%$9K-10.0%$10K0.0%$10K+11.1%$9K-64.0%
$637K+94.8%$327K-52.9%$695K+45.4%$478K-16.6%$573K+18.6%
$2.18M+318%$523K+717%$64K-92.4%$843K-65.8%$2.47M+478%
$28.02M+92.5%$14.56M-23.5%$19.03M+338%$4.34M-81.8%$23.93M+49.6%
$28.02M+92.5%$14.56M-23.5%$19.03M+338%$4.34M-81.8%$23.93M+49.6%

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Questions, answered.

How much cash does Braze, Inc. generate?
Braze, Inc. (BRZE) generated $75.4M in operating cash flow over the trailing twelve months.
What is Braze, Inc.'s free cash flow?
After $9.5M of capital expenditures, Braze, Inc.'s free cash flow was $65.9M over the trailing twelve months, up 8.6% year over year.
Where does Braze, Inc.'s cash flow data come from?
Every line is extracted from Braze, 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.