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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$33.48M-26.0%$46.05M-8.8%$24M-65.0%$28.59M-67.3%$45.23M+542%
$264K+1.9%$259K+74.1%
$456K+5.3%$433K
$1.72M+2.0%$1.69M
$1.33M-34.6%$2.03M
$65.38M-30.1%$96.61M+34.8%$54.78M+28,312%$47.41M+26,014%$93.54M+33,264%
$1.38M-32.9%$1.23M-41.1%$1.27M$1.6M$2.05M
$1.31M-19.5%$1.52M-14.5%$1.69M$1.46M$1.62M
$731K-10.3%$739K-9.3%$802K$1.14M$815K
$70.75M-29.4%$102.21M+30.2%$60.9M+21.5%$53.83M+9.7%$100.2M+108%
$1.57M-90.8%$22.84M+189%$15.11M$16.53M$17.12M
$2.55M-8.6%$6.7M-53.1%$2.61M+20.6%$1.85M+74.6%$2.79M+566%
$0$0
$596K+10.0%$644K+11.4%$678K$502K$542K
$26.54M-31.0%$43.39M-76.7%$36.8M+255%$39.61M+368%$38.44M+454%
$640K-39.0%$804K-31.0%$948K$928K$1.05M
$1.38M-3.7%$1.28M-23.6%$1.29M$1.33M$1.44M
$16.75M-66.8%$17.74M-90.6%$59.6M+192%$58.64M+217%$50.43M+197%
600M+5,999,900%600M+11,999,900%11K10K10K
$684.12M+13.6%$675.14M+112%$634.15M$610.34M$602.27M
-$658.81M-14.2%-$636.16M-48.2%-$632.86M-3,091%-$606.6M-3,252%-$577.01M-3,365%
$125K$0
$25.45M+52.3%$39M+135%$1.31M+101%-$4.81M+94.1%$16.71M+124%
$70.75M-29.4%$102.21M+30.2%$60.9M+21.5%$53.83M+9.7%$100.2M+108%
$2.43M$557K+32.6%
$2.43M$557K+32.6%
$1.33M-34.6%$2.03M
$96K-70.9%$330K
$731K-10.3%$739K-9.3%$802K$1.14M$815K
$1.31M-19.5%$1.52M-14.5%$1.69M$1.46M$1.62M
$1.96M-9.8%$2.12M-1.6%$2.36M$2.21M$2.17M
$1.31M-19.5%$1.52M-14.5%$1.69M$1.46M$1.62M
$731K-10.3%$739K-9.3%$802K$1.14M$815K
$1.31M-19.5%$1.52M-14.5%$1.69M$1.46M$1.62M
$731K-10.3%$739K-9.3%$802K$1.14M$815K
$2.55M-8.6%$2.61M$1.85M$2.79M
$7.25M+8.2%$6.7M-53.1%$6.7M+202%
$0$331K
$307K-3.8%$2.52M+520%$2.35M+729%$319K+95.8%
$7.25M+8.2%$6.7M-53.1%$6.7M+202%
$0-100%
$2.55M-8.6%$2.61M$1.85M$2.79M
$2.83M+76.1%$1.61M
$1.47M-11.3%$1.65M
$8.4M$8.93M
$1.24M-22.4%$1.45M-99.0%$1.63M$1.43M$1.59M
$0.00$0.00
122.7M122M
$12K+20.0%$12K+140%$11K$10K$10K
$5.97M-7.0%$6.41M
$16.75M$17.74M-89.1%
$16.73M$36.69M
$580K0.0%$580K
$1.47M-11.3%$1.65M
$223K+65.2%$135K
$878K+322%$208K
$2.43M$557K+32.6%
$0$0
$600M$600M
$122.75M$122.04M
$122.75M$122.04M
$8.4M$8.93M
$5.97M-7.0%$6.41M
$368K-62.0%$968K
$882K+1,700%$49K
$781K+89.1%$413K
$1.29M+476%$223K
$963K+0.4%$959K
$0$0
$0$0
$8.34M$8.81M

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Questions, answered.

What are Blaize Holdings, Inc. Common Stock's total assets?
Blaize Holdings, Inc. Common Stock (BZAI) holds $70.8M in total assets, down 29.4% year over year.
How much debt does Blaize Holdings, Inc. Common Stock have?
Blaize Holdings, Inc. Common Stock carries $1.2M in total debt against $25.4M of shareholders' equity, a debt-to-equity ratio of 0.05.
How much cash does Blaize Holdings, Inc. Common Stock have?
Blaize Holdings, Inc. Common Stock holds $33.5M in cash and equivalents.
Can Blaize Holdings, Inc. Common Stock cover its short-term obligations?
Its current ratio is 2.46 — current assets exceed current liabilities.
Where does Blaize Holdings, Inc. Common Stock's balance sheet data come from?
Every line is extracted from Blaize Holdings, Inc. Common Stock'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.