| Braze, Inc. (BRZE) | |||||||||||||||||||||||||||||||||||||||||||||||||
| Q2-CY2026 | Q1-CY2026 | Q4-CY2025 | Q3-CY2025 | Q2-CY2025 | Q1-CY2025 | Q4-CY2024 | Q3-CY2024 | Q2-CY2024 | Q1-CY2024 | Q4-CY2023 | Q3-CY2023 | Q2-CY2023 | Q1-CY2023 | Q4-CY2022 | Q3-CY2022 | Q2-CY2022 | Q1-CY2022 | Q4-CY2021 | Q3-CY2021 | Q2-CY2021 | Q1-CY2021 | Q4-CY2020 | Q3-CY2020 | Q2-CY2020 | Q1-CY2020 | Q4-CY2019 | Q3-CY2019 | Q2-CY2019 | Q1-CY2019 | Q4-CY2018 | Q3-CY2018 | Q2-CY2018 | Q1-CY2018 | Q4-CY2017 | Q3-CY2017 | Q2-CY2017 | Q1-CY2017 | Q4-CY2016 | Q3-CY2016 | Q2-CY2016 | Q1-CY2016 | Q4-CY2015 | Q3-CY2015 | Q2-CY2015 | Q1-CY2015 | Q4-CY2014 | Q3-CY2014 | Q2-CY2014 | |
| Balance Sheet Date | 2026-Apr-30 | 2026-Jan-31 | 2025-Oct-31 | 2025-Jul-31 | 2025-Apr-30 | 2025-Jan-31 | 2024-Oct-31 | 2024-Jul-31 | 2024-Apr-30 | 2024-Jan-31 | 2023-Oct-31 | 2023-Jul-31 | 2023-Apr-30 | 2023-Jan-31 | 2022-Oct-31 | 2022-Jul-31 | 2022-Apr-30 | 2022-Jan-31 | 2021-Oct-31 | ||||||||||||||||||||||||||||||
| Fiscal Period | Q1-FY2027 | Q4-FY2026 | Q3-FY2026 | Q2-FY2026 | Q1-FY2026 | Q4-FY2025 | Q3-FY2025 | Q2-FY2025 | Q1-FY2025 | Q4-FY2024 | Q3-FY2024 | Q2-FY2024 | Q1-FY2024 | Q4-FY2023 | Q3-FY2023 | Q2-FY2023 | Q1-FY2023 | Q4-FY2022 | Q3-FY2022 | ||||||||||||||||||||||||||||||
| Operating Cash Flow | 28,126,000$ | 19,375,000$ | 20,967,000$ | 6,952,000$ | 24,144,000$ | 17,083,000$ | (11,410,000$) | 11,612,000$ | 19,395,000$ | 3,821,000$ | (2,003,000$) | (17,517,000$) | 22,549,000$ | 12,000$ | (23,920,000$) | (16,321,000$) | 17,921,000$ | (24,530,000$) | (4,607,000$) | (3,807,000$) | 20,000$ | ||||||||||||||||||||||||||||
| Investing Cash Flow | 42,796,000$ | (7,463,000$) | (5,731,000$) | (160,550,000$) | 122,837,000$ | (841,000$) | (8,198,000$) | (16,827,000$) | (10,604,000$) | (497,000$) | (15,991,000$) | (27,785,000$) | 24,297,000$ | 18,023,000$ | (12,743,000$) | 4,004,000$ | (407,803,000$) | (1,749,000$) | 1,732,000$ | 17,153,000$ | 2,828,000$ | ||||||||||||||||||||||||||||
| Purchases of Property and Equipment | 108,000$ | 4,820,000$ | 1,942,000$ | 2,609,000$ | 217,000$ | 1,087,000$ | 1,923,000$ | 3,309,000$ | 6,915,000$ | 6,322,000$ | 3,012,000$ | 387,000$ | 40,000$ | 1,381,000$ | 4,222,000$ | 7,884,000$ | 1,960,000$ | 1,200,000$ | 457,000$ | 298,000$ | 416,000$ | ||||||||||||||||||||||||||||
| Financing Cash Flow | (49,690,000$) | 13,795,000$ | 1,082,000$ | 7,478,000$ | 605,000$ | 6,177,000$ | 1,477,000$ | 5,922,000$ | (1,881,000$) | 4,103,000$ | 1,673,000$ | 5,122,000$ | 2,211,000$ | 4,119,000$ | 1,802,000$ | 2,781,000$ | 2,630,000$ | 463,306,000$ | 619,000$ | 1,965,000$ | (234,000$) | ||||||||||||||||||||||||||||
| End Cash Position | 145,289,000$ | 124,342,000$ | 97,815,000$ | 80,979,000$ | 231,499,000$ | 83,062,000$ | 61,312,000$ | 79,119,000$ | 74,801,000$ | 68,228,000$ | 60,470,000$ | 77,302,000$ | 116,932,000$ | 68,587,000$ | 45,390,000$ | 80,881,000$ | 90,610,000$ | 478,937,000$ | 41,976,000$ | 45,901,000$ | 48,195,000$ | 28,509,000$ | 30,365,000$ | ||||||||||||||||||||||||||
| Exchange Rate Effect | (285,000$) | 820,000$ | (207,000$) | (209,000$) | 851,000$ | (669,000$) | 324,000$ | 238,000$ | (337,000$) | 331,000$ | (511,000$) | (115,000$) | (180,000$) | 1,043,000$ | (630,000$) | (193,000$) | (1,075,000$) | (66,000$) | (38,000$) | (134,000$) | 39,000$ | ||||||||||||||||||||||||||||
| Dividends Paid | |||||||||||||||||||||||||||||||||||||||||||||||||
| Unlevered Free Cash Flow | 28,018,000$ | 14,555,000$ | 19,025,000$ | 4,343,000$ | 23,927,000$ | 15,996,000$ | (13,333,000$) | 8,303,000$ | 12,480,000$ | (2,501,000$) | (5,015,000$) | (17,904,000$) | 22,509,000$ | (1,369,000$) | (28,142,000$) | (24,205,000$) | 15,961,000$ | (25,730,000$) | (5,064,000$) | (4,105,000$) | (396,000$) | ||||||||||||||||||||||||||||