Fiverr International Ltd. (FVRR)
NYSE: FVRR · Real-Time Price · USD
9.69
+0.22 (2.38%)
Aug 4, 2026, 9:49 AM EDT - Market open

Fiverr International Income Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
418.35430.91391.48361.38337.37297.66
Revenue Growth
-0.18%10.07%8.33%7.12%13.34%57.07%
Cost of Revenue
75.3279.4270.5761.8565.9551.72
Gross Profit
343.03351.49320.92299.53271.42245.94
Selling, General & Admin
244.42262.01246.49223.92225.76211.98
Research & Development
79.7390.6690.2490.7292.5679.3
Other Operating Expenses
----27.63-
Total Operating Expenses
324.15352.67336.73314.64345.95291.28
Operating Income
18.88-1.18-15.82-15.11-74.53-45.34
Interest Income
14.3224.5927.7120.163.62-19.51
Total Non-Operating Income (Expense)
14.3224.5927.7120.163.62-19.51
Pretax Income
33.2123.4211.895.05-70.91-64.85
Provision for Income Taxes
3.182.43-6.361.370.580.16
Net Income
30.0320.9818.253.68-71.49-65.01
Net Income to Common
30.0320.9818.253.68-71.49-65.01
Net Income Growth
65.21%15.00%395.68%---
Shares Outstanding (Basic)
363637383736
Shares Outstanding (Diluted)
373738393736
Shares Change
-1.92%-1.76%-3.35%6.23%2.51%11.23%
EPS (Basic)
0.830.580.490.10-1.94-1.81
EPS (Diluted)
0.810.560.480.09-1.94-1.81
EPS Growth
68.75%16.67%433.33%---
Free Cash Flow
85.55103.9481.7782.1328.9136.35
Free Cash Flow Growth
-8.33%27.12%-0.45%184.06%-20.46%141.69%
Free Cash Flow Per Share
2.332.802.162.100.781.01
Gross Margin
82.00%81.57%81.97%82.89%80.45%82.62%
Operating Margin
4.51%-0.27%-4.04%-4.18%-22.09%-15.23%
Profit Margin
7.18%4.87%4.66%1.02%-21.19%-21.84%
FCF Margin
20.45%24.12%20.89%22.73%8.57%12.21%
EBITDA
32.0413.52-5.34-9.12-64.35-38.46
EBITDA Margin
7.66%3.14%-1.36%-2.52%-19.07%-12.92%
EBIT
18.88-1.18-15.82-15.11-74.53-45.34
EBIT Margin
4.51%-0.27%-4.04%-4.18%-22.09%-15.23%
Effective Tax Rate
9.56%10.39%-53.48%27.17%-0.81%-0.25%
SEC Filings: 10-K · 10-Q