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Cloudflare, Inc. NET Ratios & Valuation

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
Profitability
Gross margin299.2%-9.8pp302.7%-6.2pp305.5%-2.4pp307.9%+1.6pp309%+4.5pp
Operating margin-38.3%+1.6pp-37.7%+7.5pp-37.4%+12.8pp-38.2%+17.6pp-39.9%+22.1pp
Net margin-19.8%+2.4pp-20.7%+10.0pp-20.7%+19.5pp-21.5%+29.4pp-22.2%+41.4pp
EBITDA margin-3.8%+3.6pp-4.1%+6.7pp-5%+8.1pp-6.2%+9.9pp-7.4%+12.9pp
Free cash flow margin49.9%+1.3pp48.2%-0.1pp46.6%-0.7pp47.3%48.6%
Returns
Return on equity-34%+6.7pp-35.4%+22.9pp-36%+40.2pp-38.3%+57.9pp-40.7%+78.3pp
Return on assets-9%+3.1pp-9.8%+6.5pp-10.2%+10.4pp-11.2%+14.0pp-12.2%+18.1pp
Efficiency
Asset turnover1.8×-0.4×1.9×-0.3×-0.1×2.1×+0.1×2.2×+0.3×
Liquidity
Current ratio11.1×-1.8×12.4×-0.9×13.2×-0.7×14.6×+0.2×12.9×-1.8×
Quick ratio11.1×-1.8×12.4×-0.9×13.2×-0.7×14.6×+0.2×12.9×-1.8×
Cash ratio3.1×+2.0×2.9×+1.7×2.7×+1.5×2.5×+1.4×-0.2×
Leverage
Debt-to-equity0.7×0.0×0.6×-0.1×0.6×-0.1×0.6×-0.1×0.6×-0.2×
Debt-to-assets0.2×0.0×0.2×0.0×0.2×0.0×0.2×0.0×0.2×0.0×
Interest coverage-103.6×+25.5×-109.5×+31.7×-115.6×+27.4×-123.1×+20.2×-129.1×+9.3×
Per Share
Book value per share$15.94+26.3%$15.74+45.0%$14.61+45.1%$13.60+45.9%$12.62+45.7%
Valuation
Market capitalization$281.08B+114%$247.34B+97.3%$215.24B+84.9%$168.02B+52.8%$131.44B+26.7%
Enterprise value$277.55B+111%$244.47B+95.2%$213.09B+83.2%$166.67B+51.6%$131.41B+26.7%
Price / sales134.5×+53.9×125.3×+43.0×115.6×+33.8×96×+14.3×80.6×-1.5×
Price / book202.5×+79.8×182.2×+45.7×170.2×+32.3×143×+3.2×122.7×-19.4×
EV / sales132.8×+52.2×123.9×+41.6×114.5×+32.7×95.3×+13.6×80.6×-1.5×
Free cash flow yield1.5%-0.9pp1.6%-0.8pp1.7%-0.6pp2.1%2.4%
Earnings yield-0.6%+0.5pp-0.7%+0.8pp-0.7%+1.2pp-0.9%+1.6pp-1.1%+2.0pp

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Questions, answered.

What are Cloudflare, Inc.'s profit margins?
Cloudflare, Inc. (NET) runs a 73.3% gross margin and a -9.3% operating margin, with a -3.7% net margin.
Where do Cloudflare, Inc.'s ratios come from?
Every ratio is computed from Cloudflare, Inc.'s SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.