Backblaze, Inc. (BLZE)
NASDAQ: BLZE · Real-Time Price · USD
6.25
+0.62 (11.01%)
At close: Nov 22, 2024, 4:00 PM
6.11
-0.14 (-2.24%)
After-hours: Nov 22, 2024, 5:13 PM EST

Backblaze Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019
Period Ending
Sep '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19
Cash & Equivalents
2.9512.56.69104.846.086.98
Short-Term Investments
17.9316.858.73--0.03
Cash & Short-Term Investments
20.8829.365.42104.846.087
Cash Growth
-29.81%-55.21%-37.60%1625.53%-13.24%-
Accounts Receivable
5.363.182.491.531.050.59
Other Receivables
1.531.280.640.290.270.52
Receivables
6.94.453.141.821.321.11
Prepaid Expenses
2.573.314.153.510.990.97
Other Current Assets
1.551.451.690.910.850
Total Current Assets
31.938.5174.4111.089.239.08
Property, Plant & Equipment
57.2655.5856.2643.0738.7524.83
Other Intangible Assets
41.0432.5216.77.645.683.88
Other Long-Term Assets
6.055.075.11.790.810.84
Total Assets
136.24131.69152.46163.5854.4738.63
Accounts Payable
1.672.283.282.081.711.55
Accrued Expenses
4.826.666.836.534.712.61
Short-Term Debt
-0.891.55---
Current Portion of Long-Term Debt
----0.63-
Current Portion of Leases
20.3720.3720.6613.6511.328.23
Current Income Taxes Payable
----0.010.02
Current Unearned Revenue
30.1425.9822.9121.7217.5915.77
Other Current Liabilities
2.190.911.041.10.410.07
Total Current Liabilities
59.257.0956.2745.0636.3728.24
Long-Term Debt
4.684.134.31-1.64-
Long-Term Leases
24.3221.4620.5219.617.898.53
Long-Term Unearned Revenue
5.214.072.613.131.81.66
Other Long-Term Liabilities
---0.30.82-
Total Liabilities
93.4186.7583.7168.158.5338.44
Common Stock
00000.010.01
Additional Paid-In Capital
224.44192.39156.49131.837.795.68
Retained Earnings
-181.61-147.45-87.74-36.34-14.64-8.28
Total Common Equity
42.8344.9468.7595.49-6.84-2.59
Shareholders' Equity
42.8344.9468.7595.49-4.060.19
Total Liabilities & Equity
136.24131.69152.46163.5854.4738.63
Total Debt
49.3846.8547.0333.2531.4816.76
Net Cash (Debt)
-28.5-17.5518.3971.6-25.4-9.76
Net Cash Growth
---74.31%---
Net Cash Per Share
-0.84-0.610.583.52-1.37-0.52
Filing Date Shares Outstanding
44.441.234.330.618.6118.6
Total Common Shares Outstanding
44.2739.1533.3930.3818.6118.6
Working Capital
-27.3-18.5718.1366.02-27.14-19.16
Book Value Per Share
0.971.152.063.14-0.37-0.14
Tangible Book Value
1.7912.4252.0487.85-12.52-6.47
Tangible Book Value Per Share
0.040.321.562.89-0.67-0.35
Machinery
133.57122.48104.9585.1967.9447.44
Construction In Progress
0.331.373.64-2.360.28
Leasehold Improvements
0.241.111.270.960.880.45
Source: S&P Capital IQ. Standard template. Financial Sources.