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BRZE Braze

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  • 36.790
  • +0.650+1.80%
Close May 13 16:00 ET
  • 37.542
  • +0.752+2.04%
Post 20:01 ET
3.85BMarket Cap-36.07P/E (TTM)

Braze Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jan 31, 2025
(Q4)Jan 31, 2025
(Q3)Oct 31, 2024
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
435.47%36.68M
347.08%17.08M
-469.65%-11.41M
166.29%11.61M
-13.99%19.4M
130.71%6.85M
31,741.67%3.82M
91.63%-2M
-7.33%-17.52M
25.82%22.55M
Net income from continuing operations
20.23%-104.05M
40.29%-17.06M
9.20%-28.13M
27.77%-23.15M
8.03%-35.71M
7.33%-130.43M
15.47%-28.58M
8.60%-30.98M
4.08%-32.05M
2.04%-38.83M
Operating gains losses
-324.57%-1.03M
-1,676.92%-231K
-756.76%-317K
-195.00%-190K
-195.16%-295K
-71.46%460K
77.19%-13K
-102.69%-37K
195.24%200K
-38.61%310K
Depreciation and amortization
45.27%10.12M
46.04%2.75M
17.84%2.64M
97.57%2.61M
39.32%2.13M
50.78%6.96M
11.17%1.88M
118.03%2.24M
41.07%1.32M
58.13%1.53M
Other non cash items
22.02%38.42M
33.36%9.87M
15.96%10.07M
14.92%10.02M
26.59%8.46M
11.01%31.48M
3.47%7.4M
44.73%8.68M
57.47%8.72M
-30.93%6.68M
Change In working capital
-2,253.04%-22.65M
-370.89%-5.95M
-267.56%-25.76M
68.02%-6.96M
-42.01%16.01M
-88.84%1.05M
-56.86%2.2M
62.30%-7.01M
-227.45%-21.75M
-6.62%27.62M
-Change in receivables
61.71%-5.36M
75.86%-5.14M
-1,162.28%-20.92M
610.05%10.81M
-10.59%9.88M
4.38%-14.01M
-3.65%-21.28M
84.58%-1.66M
60.46%-2.12M
-49.75%11.05M
-Change in prepaid assets
-94.23%-6.63M
1.77%-5.26M
-83.92%639K
63.23%-1.02M
-232.08%-984K
-194.91%-3.41M
-258.70%-5.36M
100.76%3.98M
-449.31%-2.77M
-79.39%745K
-Change in payables and accrued expense
-100.89%-218K
-91.80%1M
-62.54%-2.93M
157.75%10.86M
-193.67%-9.15M
308.11%24.41M
30.74%12.23M
78.48%-1.8M
-43.85%4.21M
490.45%9.77M
-Change in other current assets
-112.66%-29K
-13.74%477K
-285.20%-1.18M
167.88%393K
172.89%277K
-86.62%229K
-18.44%553K
24.02%635K
-522.58%-579K
-161.89%-380K
-Change in other current liabilities
-111.56%-66K
-55.88%195K
-120.73%-130K
89.56%-50K
-326.32%-81K
5,610.00%571K
3,046.67%442K
7,737.50%627K
-6,942.86%-479K
-290.00%-19K
-Change in other working capital
-53.58%-10.35M
-82.19%2.78M
85.77%-1.25M
-39.69%-27.95M
149.10%16.08M
-152.71%-6.74M
-8.69%15.61M
-345.81%-8.79M
-144.26%-20.01M
10.31%6.45M
Cash from discontinued investing activities
Operating cash flow
435.47%36.68M
347.08%17.08M
-469.65%-11.41M
166.29%11.61M
-13.99%19.4M
130.71%6.85M
31,741.67%3.82M
91.63%-2M
-7.33%-17.52M
25.82%22.55M
Investing cash flow
Cash flow from continuing investing activities
-82.57%-36.47M
-69.22%-841K
48.73%-8.2M
39.44%-16.83M
-143.64%-10.6M
94.99%-19.98M
-102.76%-497K
-25.49%-15.99M
-793.93%-27.79M
105.96%24.3M
Capital expenditure reported
-6.72%-3.81M
23.80%-791K
-2.12%-915K
-35.66%-1.07M
-21.95%-1.04M
-184.10%-3.57M
-87.70%-1.04M
-1,248.72%-896K
-65.20%-788K
-178.43%-852K
Net PPE purchase and sale
-35.58%-13.23M
82.81%-1.09M
36.16%-1.92M
-755.04%-3.31M
-17,187.50%-6.92M
36.81%-9.76M
-357.78%-6.32M
28.66%-3.01M
95.09%-387K
97.96%-40K
Net business purchase and sale
--0
--0
--0
----
----
---16.32M
--0
---1K
----
----
Net investment purchase and sale
-300.68%-19.42M
-84.89%1.04M
55.64%-5.36M
-20.96%-12.45M
-110.52%-2.65M
102.53%9.68M
-65.61%6.86M
-40.50%-12.08M
-183.23%-10.29M
106.21%25.19M
Cash from discontinued investing activities
Investing cash flow
-82.57%-36.47M
-69.22%-841K
48.73%-8.2M
39.44%-16.83M
-143.64%-10.6M
94.99%-19.98M
-102.76%-497K
-25.49%-15.99M
-793.93%-27.79M
105.96%24.3M
Financing cash flow
Cash flow from continuing financing activities
-10.79%11.7M
50.55%6.18M
-11.72%1.48M
15.62%5.92M
-185.07%-1.88M
15.68%13.11M
-0.39%4.1M
-7.16%1.67M
84.18%5.12M
-15.93%2.21M
Proceeds from stock option exercised by employees
10.07%14.61M
50.55%6.18M
-19.64%1.48M
15.62%5.92M
-53.19%1.04M
17.14%13.27M
-0.39%4.1M
2.00%1.84M
84.18%5.12M
-15.93%2.21M
Net other financing activities
-1,667.27%-2.92M
--0
--0
--0
---2.92M
---165K
--0
----
----
----
Cash from discontinued financing activities
Financing cash flow
-10.79%11.7M
50.55%6.18M
-11.72%1.48M
15.62%5.92M
-185.07%-1.88M
15.68%13.11M
-0.39%4.1M
-7.16%1.67M
84.18%5.12M
-15.93%2.21M
Net cash flow
Beginning cash position
-0.68%72.13M
-3.93%61.84M
-1.92%79.65M
-35.22%78.7M
-0.68%72.13M
-84.96%72.62M
30.24%64.37M
-4.37%81.21M
28.37%121.5M
-84.96%72.62M
Current changes in cash
70,129.41%11.91M
201.86%22.42M
-11.09%-18.13M
101.76%707K
-85.91%6.91M
100.00%-17K
-66.48%7.43M
53.18%-16.32M
-321.35%-40.18M
112.67%49.06M
Effect of exchange rate changes
6.53%-444K
-302.11%-669K
163.41%324K
306.96%238K
-87.22%-337K
44.44%-475K
-68.26%331K
18.89%-511K
40.41%-115K
83.26%-180K
End cash Position
15.89%83.59M
15.89%83.59M
-3.93%61.84M
-1.92%79.65M
-35.22%78.7M
-0.68%72.13M
-0.68%72.13M
30.24%64.37M
-4.37%81.21M
28.37%121.5M
Free cash flow
402.73%19.63M
529.64%15.21M
-141.04%-14.25M
138.70%7.23M
-47.17%11.44M
83.38%-6.49M
-84.13%-3.54M
78.94%-5.91M
24.27%-18.69M
38.34%21.66M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Jan 31, 2025(Q4)Jan 31, 2025(Q3)Oct 31, 2024(Q2)Jul 31, 2024(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 435.47%36.68M347.08%17.08M-469.65%-11.41M166.29%11.61M-13.99%19.4M130.71%6.85M31,741.67%3.82M91.63%-2M-7.33%-17.52M25.82%22.55M
Net income from continuing operations 20.23%-104.05M40.29%-17.06M9.20%-28.13M27.77%-23.15M8.03%-35.71M7.33%-130.43M15.47%-28.58M8.60%-30.98M4.08%-32.05M2.04%-38.83M
Operating gains losses -324.57%-1.03M-1,676.92%-231K-756.76%-317K-195.00%-190K-195.16%-295K-71.46%460K77.19%-13K-102.69%-37K195.24%200K-38.61%310K
Depreciation and amortization 45.27%10.12M46.04%2.75M17.84%2.64M97.57%2.61M39.32%2.13M50.78%6.96M11.17%1.88M118.03%2.24M41.07%1.32M58.13%1.53M
Other non cash items 22.02%38.42M33.36%9.87M15.96%10.07M14.92%10.02M26.59%8.46M11.01%31.48M3.47%7.4M44.73%8.68M57.47%8.72M-30.93%6.68M
Change In working capital -2,253.04%-22.65M-370.89%-5.95M-267.56%-25.76M68.02%-6.96M-42.01%16.01M-88.84%1.05M-56.86%2.2M62.30%-7.01M-227.45%-21.75M-6.62%27.62M
-Change in receivables 61.71%-5.36M75.86%-5.14M-1,162.28%-20.92M610.05%10.81M-10.59%9.88M4.38%-14.01M-3.65%-21.28M84.58%-1.66M60.46%-2.12M-49.75%11.05M
-Change in prepaid assets -94.23%-6.63M1.77%-5.26M-83.92%639K63.23%-1.02M-232.08%-984K-194.91%-3.41M-258.70%-5.36M100.76%3.98M-449.31%-2.77M-79.39%745K
-Change in payables and accrued expense -100.89%-218K-91.80%1M-62.54%-2.93M157.75%10.86M-193.67%-9.15M308.11%24.41M30.74%12.23M78.48%-1.8M-43.85%4.21M490.45%9.77M
-Change in other current assets -112.66%-29K-13.74%477K-285.20%-1.18M167.88%393K172.89%277K-86.62%229K-18.44%553K24.02%635K-522.58%-579K-161.89%-380K
-Change in other current liabilities -111.56%-66K-55.88%195K-120.73%-130K89.56%-50K-326.32%-81K5,610.00%571K3,046.67%442K7,737.50%627K-6,942.86%-479K-290.00%-19K
-Change in other working capital -53.58%-10.35M-82.19%2.78M85.77%-1.25M-39.69%-27.95M149.10%16.08M-152.71%-6.74M-8.69%15.61M-345.81%-8.79M-144.26%-20.01M10.31%6.45M
Cash from discontinued investing activities
Operating cash flow 435.47%36.68M347.08%17.08M-469.65%-11.41M166.29%11.61M-13.99%19.4M130.71%6.85M31,741.67%3.82M91.63%-2M-7.33%-17.52M25.82%22.55M
Investing cash flow
Cash flow from continuing investing activities -82.57%-36.47M-69.22%-841K48.73%-8.2M39.44%-16.83M-143.64%-10.6M94.99%-19.98M-102.76%-497K-25.49%-15.99M-793.93%-27.79M105.96%24.3M
Capital expenditure reported -6.72%-3.81M23.80%-791K-2.12%-915K-35.66%-1.07M-21.95%-1.04M-184.10%-3.57M-87.70%-1.04M-1,248.72%-896K-65.20%-788K-178.43%-852K
Net PPE purchase and sale -35.58%-13.23M82.81%-1.09M36.16%-1.92M-755.04%-3.31M-17,187.50%-6.92M36.81%-9.76M-357.78%-6.32M28.66%-3.01M95.09%-387K97.96%-40K
Net business purchase and sale --0--0--0-----------16.32M--0---1K--------
Net investment purchase and sale -300.68%-19.42M-84.89%1.04M55.64%-5.36M-20.96%-12.45M-110.52%-2.65M102.53%9.68M-65.61%6.86M-40.50%-12.08M-183.23%-10.29M106.21%25.19M
Cash from discontinued investing activities
Investing cash flow -82.57%-36.47M-69.22%-841K48.73%-8.2M39.44%-16.83M-143.64%-10.6M94.99%-19.98M-102.76%-497K-25.49%-15.99M-793.93%-27.79M105.96%24.3M
Financing cash flow
Cash flow from continuing financing activities -10.79%11.7M50.55%6.18M-11.72%1.48M15.62%5.92M-185.07%-1.88M15.68%13.11M-0.39%4.1M-7.16%1.67M84.18%5.12M-15.93%2.21M
Proceeds from stock option exercised by employees 10.07%14.61M50.55%6.18M-19.64%1.48M15.62%5.92M-53.19%1.04M17.14%13.27M-0.39%4.1M2.00%1.84M84.18%5.12M-15.93%2.21M
Net other financing activities -1,667.27%-2.92M--0--0--0---2.92M---165K--0------------
Cash from discontinued financing activities
Financing cash flow -10.79%11.7M50.55%6.18M-11.72%1.48M15.62%5.92M-185.07%-1.88M15.68%13.11M-0.39%4.1M-7.16%1.67M84.18%5.12M-15.93%2.21M
Net cash flow
Beginning cash position -0.68%72.13M-3.93%61.84M-1.92%79.65M-35.22%78.7M-0.68%72.13M-84.96%72.62M30.24%64.37M-4.37%81.21M28.37%121.5M-84.96%72.62M
Current changes in cash 70,129.41%11.91M201.86%22.42M-11.09%-18.13M101.76%707K-85.91%6.91M100.00%-17K-66.48%7.43M53.18%-16.32M-321.35%-40.18M112.67%49.06M
Effect of exchange rate changes 6.53%-444K-302.11%-669K163.41%324K306.96%238K-87.22%-337K44.44%-475K-68.26%331K18.89%-511K40.41%-115K83.26%-180K
End cash Position 15.89%83.59M15.89%83.59M-3.93%61.84M-1.92%79.65M-35.22%78.7M-0.68%72.13M-0.68%72.13M30.24%64.37M-4.37%81.21M28.37%121.5M
Free cash flow 402.73%19.63M529.64%15.21M-141.04%-14.25M138.70%7.23M-47.17%11.44M83.38%-6.49M-84.13%-3.54M78.94%-5.91M24.27%-18.69M38.34%21.66M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

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