Cloudflare, Inc. (BMV:NET)
Mexico flag Mexico · Delayed Price · Currency is MXN
3,270.50
+150.00 (4.81%)
At close: Mar 4, 2026

Cloudflare Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Cash & Equivalents
943.54147.6986.86204.18313.78
Upgrade
Short-Term Investments
3,1581,7081,5871,4461,508
Upgrade
Cash & Short-Term Investments
4,1011,8561,6741,6501,822
Upgrade
Cash Growth
120.98%10.88%1.44%-9.44%76.52%
Upgrade
Receivables
406.02333.32259.31156.84101.62
Upgrade
Prepaid Expenses
128.275.4847.570.5629.43
Upgrade
Restricted Cash
9.364.272.5210.562.96
Upgrade
Total Current Assets
4,6452,2691,9831,8881,956
Upgrade
Property, Plant & Equipment
855.51634.97460.54418.13313.62
Upgrade
Goodwill
226.56181.09148.05148.0523.53
Upgrade
Other Intangible Assets
41.821.8719.5632.481.25
Upgrade
Long-Term Deferred Charges
219.5172.22133.2493.1570.32
Upgrade
Other Long-Term Assets
48.0522.0215.38.227.49
Upgrade
Total Assets
6,0363,3012,7602,5882,372
Upgrade
Accounts Payable
84.12105.8153.7335.6126.09
Upgrade
Accrued Expenses
220.06162.46127.4110.34108.64
Upgrade
Current Portion of Long-Term Debt
1,291---12.12
Upgrade
Current Portion of Leases
70.947.6338.3533.2825.18
Upgrade
Current Unearned Revenue
684.21477.77347.61218.65116.55
Upgrade
Total Current Liabilities
2,351793.65567.08397.87288.57
Upgrade
Long-Term Debt
1,9741,2871,2831,4361,147
Upgrade
Long-Term Leases
182.03128.27113.49107.62109.04
Upgrade
Long-Term Unearned Revenue
41.0922.117.2411.734.68
Upgrade
Other Long-Term Liabilities
29.3423.6315.5410.5311.55
Upgrade
Total Liabilities
4,5772,2551,9971,9641,561
Upgrade
Common Stock
0.350.340.340.330.32
Upgrade
Additional Paid-In Capital
2,6512,1531,7851,4751,495
Upgrade
Retained Earnings
-1,205-1,103-1,024-839.89-680.83
Upgrade
Comprehensive Income & Other
12.26-4.251.98-11.9-2.65
Upgrade
Total Common Equity
1,4591,046763.05623.96811.36
Upgrade
Shareholders' Equity
1,4591,046763.05623.96811.36
Upgrade
Total Liabilities & Equity
6,0363,3012,7602,5882,372
Upgrade
Total Debt
3,5181,4631,4351,5771,293
Upgrade
Net Cash (Debt)
582.92392.71238.5472.85528.64
Upgrade
Net Cash Growth
48.44%64.63%227.46%-86.22%-12.45%
Upgrade
Net Cash Per Share
1.671.150.710.221.69
Upgrade
Filing Date Shares Outstanding
351.98345.07337.66330.32324.08
Upgrade
Total Common Shares Outstanding
351.89344.86337.53330.09323.61
Upgrade
Working Capital
2,2941,4751,4161,4901,667
Upgrade
Book Value Per Share
4.153.032.261.892.51
Upgrade
Tangible Book Value
1,191843.25595.44443.43786.58
Upgrade
Tangible Book Value Per Share
3.382.451.761.342.43
Upgrade
Machinery
768.99526.74371.34276.95181.84
Upgrade
Construction In Progress
58.3768.9745.5672.8341.42
Upgrade
Leasehold Improvements
50.9149.0542.9820.3912.89
Upgrade
Source: S&P Capital IQ. Standard template. Financial Sources.