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Braze, Inc. BRZE Cash Flow Statement

TTM Q1 '27TTM Q4 '26TTM Q3 '26TTM Q2 '26TTM Q1 '26
-$120.64M+7.8%-$130.79M-12.5%-$116.27M-7.1%-$108.6M-4.4%-$103.98M+0.1%
$148.9M+3.6%$143.74M+7.3%$133.98M+7.5%$124.58M+6.3%$117.16M+1.8%
$80K-56.0%$182K-35.9%$284K-26.4%$386K-20.9%
$356K-46.5%$666K-19.0%$822K-67.9%$2.56M
$27.98M+23.2%$22.72M+621%-$4.36M-130%$14.5M+137%$6.13M+14.3%
$4.21M+800%-$601K-178%$769K+122%-$3.43M-5.6%-$3.25M+20.2%
$12.51M-52.3%$26.19M+248%$7.52M
$141K-2.1%$144K-5.9%$153K-62.8%$411K+445%-$119K-178%
-$630K+33.8%-$951K+26.6%-$1.3M+23.3%-$1.69M+15.1%-$1.99M+4.2%
$44.13M+6.9%$41.27M+6.0%$38.94M+3.9%$37.49M+3.8%$36.12M+3.2%
$75.42M+5.6%$71.44M+3.3%$69.15M
$9.48M-1.1%$9.59M+63.8%$5.86M+0.3%$5.84M-10.7%$6.54M-50.6%
$125.94M-16.9%$151.64M+0.9%$150.35M-0.4%$150.99M-28.3%$210.69M-3.3%
$147.86M-15.6%$175.21M+0.8%$173.77M+1.7%$170.89M-15.2%$201.57M+3.2%
-$130.95M-157%-$50.91M-15.0%-$44.29M+5.3%-$46.75M-148%$96.97M+366%
$15.57M-1.9%$15.86M+111%$7.51M-5.0%$7.9M+22.0%$6.48M-6.2%
-$27.34M-219%$22.96M+49.7%$15.34M-2.5%$15.74M+11.0%$14.18M+21.3%
$153.33M+1,238%
$3.61M-7.2%$3.9M+2.5%$3.8M-11.6%$4.3M+12.1%$3.84M+30.2%
-$630K+33.8%-$951K+26.6%-$1.3M+23.3%-$1.69M+15.1%-$1.99M+4.2%
$80K-56.0%$182K-35.9%$284K-26.4%$386K-20.9%
$0-100%$55.75K-50.0%$111.5K-33.3%$167.25K-25.0%
$44.13M+6.9%$41.27M+6.0%$38.94M+3.9%$37.49M+3.8%$36.12M+3.2%
$73K-76.7%$313K-43.4%$553K-30.3%$793K-23.2%
$68.72M+5.3%$65.25M+24.0%$52.62M+3.2%$50.98M+3.4%$49.31M+2.4%
-$2.7M-1,284%$228K-92.7%$3.14M-56.8%
$546K-55.6%$1.23M
$2.61M-18.9%$3.22M-9.1%$3.54M-17.4%$4.29M-12.2%$4.89M+29.4%
$356K-46.5%$666K-19.0%$822K-67.9%$2.56M
$3.95M+4.6%$3.78M-3.2%$3.9M+9.3%$3.57M-6.8%$3.83M+0.4%
$147.86M-15.6%$175.21M+0.8%$173.77M+1.7%$170.89M-15.2%$201.57M+3.2%
-$511K-97.3%-$259K
-$1.85M-472%$496K
$0$0$0$0
$38K0.0%$38K-29.6%$54K+20.0%$45K+25.0%$36K+5.9%
$2.14M+3.1%$2.07M-7.0%$2.23M+7.8%$2.07M-7.5%$2.24M-1.1%
$3.61M-7.2%$3.9M+2.5%$3.8M-11.6%$4.3M+12.1%$3.84M+30.2%
$65.94M+6.6%$61.85M-2.3%$63.29M
$65.94M+6.6%$61.85M-2.3%$63.29M

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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.