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BLZE Backblaze

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  • 6.870
  • -0.020-0.29%
Close Dec 4 16:00 ET
  • 7.100
  • +0.230+3.35%
Post 17:40 ET
354.41MMarket Cap-6133P/E (TTM)

Backblaze Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
2,316.50%4.57M
144.03%2.29M
165.81%3.42M
46.39%-7.36M
204.72%3.24M
91.59%-206K
28.68%-5.2M
-476.78%-5.19M
-490.11%-13.73M
-26.43%-3.09M
Net income from continuing operations
20.57%-12.75M
27.82%-10.35M
35.41%-11.05M
-16.18%-59.71M
15.77%-12.21M
-25.43%-16.06M
-23.86%-14.34M
-36.58%-17.11M
-136.81%-51.4M
-50.89%-14.49M
Operating gains losses
-17.43%-283K
---21K
--15K
-889.19%-292K
-484.62%-50K
-1,821.43%-241K
----
----
101.61%37K
0.00%13K
Depreciation and amortization
12.91%7.27M
14.93%7.09M
20.57%6.91M
23.27%24.9M
19.09%6.56M
20.81%6.44M
37.11%6.17M
17.89%5.73M
23.76%20.2M
28.73%5.51M
Other non cash items
83.33%1.07M
-27.05%445K
-21.17%510K
-1.91%2.36M
-11.05%523K
-15.77%582K
3.74%610K
19.59%647K
53.77%2.41M
-51.28%588K
Change In working capital
1,265.71%956K
75.77%-517K
500.00%1.52M
64.33%-433K
-19.00%1.38M
122.01%70K
57.73%-2.13M
-89.65%254K
-130.27%-1.21M
574.86%1.7M
-Change in receivables
18.63%-948K
-421.62%-193K
-1,325.37%-821K
110.24%56K
975.74%1.19M
-254.10%-1.17M
75.33%-37K
-1.47%67K
-447.00%-547K
29.90%-136K
-Change in prepaid assets
-9.46%-81K
8.99%509K
-219.83%-568K
-17.41%-445K
-804.83%-1.31M
-221.74%-74K
905.17%467K
409.80%474K
87.90%-379K
91.59%-145K
-Change in payables and accrued expense
66.07%1.47M
15.34%-1.04M
103.92%24K
-361.34%-1.72M
-144.78%-759K
53.73%887K
66.79%-1.23M
-129.26%-613K
-76.64%657K
-10.08%1.7M
-Change in other current assets
28.64%-319K
-175.89%-85K
-186.36%-19K
-138.86%-389K
-108.04%-76K
-525.71%-447K
180.00%112K
-75.82%22K
285.03%1M
431.58%945K
-Change in other current liabilities
16.52%-475K
29.76%-524K
59.11%-267K
5.81%-2.46M
28.53%-496K
25.52%-569K
-24.75%-746K
-16.61%-653K
-428.48%-2.62M
-74.37%-694K
-Change in other working capital
-9.18%1.31M
217.34%819K
231.77%3.18M
575.52%4.53M
7,982.86%2.83M
1,139.66%1.44M
-77.61%-698K
4.93%957K
-87.74%670K
-90.25%35K
Cash from discontinued investing activities
Operating cash flow
2,822.94%4.63M
142.52%2.23M
165.81%3.42M
46.67%-7.35M
203.47%3.25M
93.06%-170K
28.18%-5.24M
-476.78%-5.19M
-491.51%-13.78M
-28.44%-3.14M
Investing cash flow
Cash flow from continuing investing activities
-237.34%-6.94M
-60.50%3.84M
-220.14%-8.78M
129.32%21.66M
96.44%-423K
-78.07%5.05M
375.38%9.72M
108.97%7.31M
-560.00%-73.85M
-813.84%-11.89M
Capital expenditure reported
14.03%-3.41M
4.34%-3.51M
3.23%-3.32M
-70.44%-14.72M
-22.28%-3.66M
-41.18%-3.96M
-120.99%-3.66M
-191.02%-3.43M
-137.98%-8.63M
-386.02%-2.99M
Net PPE purchase and sale
64.15%-38K
95.55%-72K
85.51%-438K
30.02%-5.14M
87.96%-396K
95.86%-106K
-64.10%-1.62M
-486.99%-3.02M
2.82%-7.35M
-379.30%-3.29M
Net investment purchase and sale
-138.31%-3.5M
-50.56%7.42M
-136.47%-5.02M
171.74%41.52M
164.65%3.63M
-67.89%9.12M
1,794.92%15M
117.25%13.77M
---57.87M
---5.61M
Cash from discontinued investing activities
Investing cash flow
-237.34%-6.94M
-60.50%3.84M
-220.14%-8.78M
129.32%21.66M
96.44%-423K
-78.07%5.05M
375.38%9.72M
108.97%7.31M
-560.00%-73.85M
-813.84%-11.89M
Financing cash flow
Cash flow from continuing financing activities
-9.11%-4.01M
-47.49%-3.11M
85.05%-264K
-42.34%-8.84M
3.30%-1.29M
-680.68%-3.68M
-71.27%-2.11M
44.40%-1.77M
-105.83%-6.21M
-101.28%-1.33M
Net issuance payments of debt
-14.64%-5.04M
-20.05%-4.91M
-100.76%-4.25M
-25.03%-15.24M
-48.08%-4.63M
-138.22%-4.4M
-7.41%-4.09M
37.86%-2.12M
-665.52%-12.19M
-53.56%-3.13M
Proceeds from stock option exercised by employees
7.32%1.34M
-16.04%2.09M
397.90%4.28M
4.20%7.05M
36.49%2.45M
-9.59%1.24M
-7.80%2.49M
-3.16%859K
1,314.85%6.76M
443.94%1.8M
Net other financing activities
41.84%-303K
42.33%-297K
42.44%-293K
17.26%-652K
--893K
---521K
-296.15%-515K
22.64%-509K
73.53%-788K
--0
Cash from discontinued financing activities
Financing cash flow
-9.11%-4.01M
-47.49%-3.11M
85.05%-264K
-42.34%-8.84M
3.30%-1.29M
-680.68%-3.68M
-71.27%-2.11M
44.40%-1.77M
-105.83%-6.21M
-101.28%-1.33M
Net cash flow
Beginning cash position
0.48%13.96M
-4.48%11M
48.95%16.63M
-89.37%11.17M
-45.16%15.09M
87.52%13.89M
-40.81%11.52M
-89.37%11.17M
1,628.31%105.01M
487.66%27.53M
Current changes in cash
-624.30%-6.32M
24.59%2.95M
-1,699.15%-5.63M
105.82%5.47M
109.39%1.54M
-94.01%1.21M
119.67%2.37M
100.41%352K
-194.86%-93.85M
-116.31%-16.36M
End cash Position
-49.44%7.63M
0.48%13.96M
-4.48%11M
48.95%16.63M
48.95%16.63M
-45.16%15.09M
87.52%13.89M
-40.81%11.52M
-89.37%11.17M
-89.37%11.17M
Free cash flow
123.01%1.03M
85.52%-1.53M
97.04%-345K
7.34%-27.58M
90.94%-853K
42.69%-4.48M
-6.65%-10.6M
-348.86%-11.65M
-288.06%-29.76M
-151.43%-9.42M
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
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 2,316.50%4.57M144.03%2.29M165.81%3.42M46.39%-7.36M204.72%3.24M91.59%-206K28.68%-5.2M-476.78%-5.19M-490.11%-13.73M-26.43%-3.09M
Net income from continuing operations 20.57%-12.75M27.82%-10.35M35.41%-11.05M-16.18%-59.71M15.77%-12.21M-25.43%-16.06M-23.86%-14.34M-36.58%-17.11M-136.81%-51.4M-50.89%-14.49M
Operating gains losses -17.43%-283K---21K--15K-889.19%-292K-484.62%-50K-1,821.43%-241K--------101.61%37K0.00%13K
Depreciation and amortization 12.91%7.27M14.93%7.09M20.57%6.91M23.27%24.9M19.09%6.56M20.81%6.44M37.11%6.17M17.89%5.73M23.76%20.2M28.73%5.51M
Other non cash items 83.33%1.07M-27.05%445K-21.17%510K-1.91%2.36M-11.05%523K-15.77%582K3.74%610K19.59%647K53.77%2.41M-51.28%588K
Change In working capital 1,265.71%956K75.77%-517K500.00%1.52M64.33%-433K-19.00%1.38M122.01%70K57.73%-2.13M-89.65%254K-130.27%-1.21M574.86%1.7M
-Change in receivables 18.63%-948K-421.62%-193K-1,325.37%-821K110.24%56K975.74%1.19M-254.10%-1.17M75.33%-37K-1.47%67K-447.00%-547K29.90%-136K
-Change in prepaid assets -9.46%-81K8.99%509K-219.83%-568K-17.41%-445K-804.83%-1.31M-221.74%-74K905.17%467K409.80%474K87.90%-379K91.59%-145K
-Change in payables and accrued expense 66.07%1.47M15.34%-1.04M103.92%24K-361.34%-1.72M-144.78%-759K53.73%887K66.79%-1.23M-129.26%-613K-76.64%657K-10.08%1.7M
-Change in other current assets 28.64%-319K-175.89%-85K-186.36%-19K-138.86%-389K-108.04%-76K-525.71%-447K180.00%112K-75.82%22K285.03%1M431.58%945K
-Change in other current liabilities 16.52%-475K29.76%-524K59.11%-267K5.81%-2.46M28.53%-496K25.52%-569K-24.75%-746K-16.61%-653K-428.48%-2.62M-74.37%-694K
-Change in other working capital -9.18%1.31M217.34%819K231.77%3.18M575.52%4.53M7,982.86%2.83M1,139.66%1.44M-77.61%-698K4.93%957K-87.74%670K-90.25%35K
Cash from discontinued investing activities
Operating cash flow 2,822.94%4.63M142.52%2.23M165.81%3.42M46.67%-7.35M203.47%3.25M93.06%-170K28.18%-5.24M-476.78%-5.19M-491.51%-13.78M-28.44%-3.14M
Investing cash flow
Cash flow from continuing investing activities -237.34%-6.94M-60.50%3.84M-220.14%-8.78M129.32%21.66M96.44%-423K-78.07%5.05M375.38%9.72M108.97%7.31M-560.00%-73.85M-813.84%-11.89M
Capital expenditure reported 14.03%-3.41M4.34%-3.51M3.23%-3.32M-70.44%-14.72M-22.28%-3.66M-41.18%-3.96M-120.99%-3.66M-191.02%-3.43M-137.98%-8.63M-386.02%-2.99M
Net PPE purchase and sale 64.15%-38K95.55%-72K85.51%-438K30.02%-5.14M87.96%-396K95.86%-106K-64.10%-1.62M-486.99%-3.02M2.82%-7.35M-379.30%-3.29M
Net investment purchase and sale -138.31%-3.5M-50.56%7.42M-136.47%-5.02M171.74%41.52M164.65%3.63M-67.89%9.12M1,794.92%15M117.25%13.77M---57.87M---5.61M
Cash from discontinued investing activities
Investing cash flow -237.34%-6.94M-60.50%3.84M-220.14%-8.78M129.32%21.66M96.44%-423K-78.07%5.05M375.38%9.72M108.97%7.31M-560.00%-73.85M-813.84%-11.89M
Financing cash flow
Cash flow from continuing financing activities -9.11%-4.01M-47.49%-3.11M85.05%-264K-42.34%-8.84M3.30%-1.29M-680.68%-3.68M-71.27%-2.11M44.40%-1.77M-105.83%-6.21M-101.28%-1.33M
Net issuance payments of debt -14.64%-5.04M-20.05%-4.91M-100.76%-4.25M-25.03%-15.24M-48.08%-4.63M-138.22%-4.4M-7.41%-4.09M37.86%-2.12M-665.52%-12.19M-53.56%-3.13M
Proceeds from stock option exercised by employees 7.32%1.34M-16.04%2.09M397.90%4.28M4.20%7.05M36.49%2.45M-9.59%1.24M-7.80%2.49M-3.16%859K1,314.85%6.76M443.94%1.8M
Net other financing activities 41.84%-303K42.33%-297K42.44%-293K17.26%-652K--893K---521K-296.15%-515K22.64%-509K73.53%-788K--0
Cash from discontinued financing activities
Financing cash flow -9.11%-4.01M-47.49%-3.11M85.05%-264K-42.34%-8.84M3.30%-1.29M-680.68%-3.68M-71.27%-2.11M44.40%-1.77M-105.83%-6.21M-101.28%-1.33M
Net cash flow
Beginning cash position 0.48%13.96M-4.48%11M48.95%16.63M-89.37%11.17M-45.16%15.09M87.52%13.89M-40.81%11.52M-89.37%11.17M1,628.31%105.01M487.66%27.53M
Current changes in cash -624.30%-6.32M24.59%2.95M-1,699.15%-5.63M105.82%5.47M109.39%1.54M-94.01%1.21M119.67%2.37M100.41%352K-194.86%-93.85M-116.31%-16.36M
End cash Position -49.44%7.63M0.48%13.96M-4.48%11M48.95%16.63M48.95%16.63M-45.16%15.09M87.52%13.89M-40.81%11.52M-89.37%11.17M-89.37%11.17M
Free cash flow 123.01%1.03M85.52%-1.53M97.04%-345K7.34%-27.58M90.94%-853K42.69%-4.48M-6.65%-10.6M-348.86%-11.65M-288.06%-29.76M-151.43%-9.42M
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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