Market Data · Quarterly financials

Cloudflare Inc

As-reported results for the 10 quarters ended Mar 31, 2024 to Jun 30, 2026

CLOUDFLARE INC (NET)'s financial overview covers its 10 most recent reported quarters, with quarter-end dates from 2024-03-31 to 2026-06-30. Quarterly revenue ranged from USD 378.60M to USD 696.06M over the displayed quarters. The company reported positive net income in 0 of 10 quarters with available figures. In the latest quarter, the company reported revenue of USD 696.06M and diluted earnings per share of USD -0.48/share.

Revenue
$696.06M
+35.9% YoY · +8.8% QoQ
Net income
−$169.98M
-24.4% margin · −237.0% YoY
Diluted EPS
-0.48
−220.0% YoY · −585.7% QoQ
Free cash flow
$56.38M
+69.4% YoY · −32.9% QoQ

2Income statementUSD, as reported

MetricJun ’26Mar ’26Dec ’25Sep ’25
Revenue$696.06M$639.75M$614.51M$562.03M
Cost of revenue$196.54M$184.16M$161.96M$146.32M
Gross profit$499.52M$455.6M$452.55M$415.71M
Operating expenses$705.21M$517.59M$501.79M$453.17M
Research and development$159.49M$150.97M$141.89M$120.96M
Selling, general and administrative$395.03M$366.62M$359.9M$332.21M
Operating income−$205.7M−$61.99M−$49.23M−$37.46M
Interest expense$3.09M$2.56M$2.89M$2.91M
Income before tax−$167.94M−$21.4M−$10.51M$1.85M
Income tax expense$2.04M$1.53M$1.57M$3.14M
Net income−$169.98M−$22.93M−$12.08M−$1.29M
Net income attributable to common shareholders−$169.98M−$22.93M−$12.08M−$1.29M
EBIT−$164.85M−$18.84M−$7.62M$4.76M
EBITDA−$78.06M$59.24M$64.21M$71.54M
Basic earnings per shareUSD/share-0.48-0.07-0.030.00
Diluted earnings per shareUSD/share-0.48-0.07-0.030.00
Weighted-average basic sharesshares354.3M352.6M351.1M349.3M
Weighted-average diluted sharesshares354.3M352.6M351.1M349.3M

3Balance sheetUSD, as reported

MetricJun ’26Mar ’26Dec ’25Sep ’25
Total assets$6.47B$6.16B$6.04B$5.79B
Current assets$4.78B$4.72B$4.64B$4.54B
Cash and cash equivalents$1.66B$932.23M$943.54M$1.05B
Total liabilities$4.85B$4.64B$4.58B$4.44B
Current liabilities$2.63B$2.41B$2.35B$2.22B
Total debt$3.53B$3.52B$3.52B$3.5B
Current debt$1.37B$1.37B$1.36B$1.36B
Equity attributable to parent$1.62B$1.53B$1.46B$1.35B

4Cash flowUSD, as reported

MetricJun ’26Mar ’26Dec ’25Sep ’25
Operating cash flow$117.56M$158.33M$190.41M$167.12M
Investing cash flow$608.17M−$158.81M−$291.72M−$629.52M
Financing cash flow$5.79M−$9.47M−$3.83M−$3.57M
Net capital expenditures (acquisitions and disposals)$61.18M$74.26M$90.97M$92.15M
Free cash flow$56.38M$84.07M$99.44M$74.97M
Stock-based compensation$159.87M$114.24M$123.63M$109.92M

5About these figures

Quarterly operating cash flow ranged from USD 73.58M to USD 190.41M over the displayed quarters. At the latest quarter-end, 2026-06-30, the company reported cash and cash equivalents of USD 1.66B and total debt of USD 3.53B. The tables below compare income statements, balance sheets and cash flows across all 10 quarters, with individual quarterly results available for further detail.

Figures are as reported in the company's quarterly filings for its 10 most recent reported quarters, up to 10 quarters per listing, newest first. Each quarter reflects the latest filed version of that quarter's statements; restated figures replace the originally reported ones. Per-share amounts are shown per share and share counts are weighted averages for the quarter. A dash marks a metric the company did not report for that quarter.