Equities
  • Price (MXN)2,515.00
  • Today's Change0.00 / 0.00%
  • Shares traded1.00
  • 1 Year change+49.58%
  • Beta--
Data delayed at least 20 minutes, as of Mar 07 2025 19:13 GMT.
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Inc stmt in USDIncome statement in USDView more

Year on year Cloudflare Inc grew revenues 28.76% from 1.30bn to 1.67bn while net income improved from a loss of 183.95m to a smaller loss of 78.80m.
Gross margin77.32%
Net profit margin-4.72%
Operating margin-9.27%
Return on assets-2.60%
Return on equity-8.71%
Return on investment-3.35%
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Cash flow in USDView more

In 2024, Cloudflare Inc increased its cash reserves by 69.05%, or 62.99m. The company earned 380.43m from its operations for a Cash Flow Margin of 22.79%. In addition the company generated 12.79m cash from financing while 330.22m was spent on investing.
Cash flow per share0.1433
Price/Cash flow per share894.04
Book value per share3.03
Tangible book value per share2.45
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Balance sheet in USDView more

Cloudflare Inc has a Debt to Total Capital ratio of 55.17%, a lower figure than the previous year's 168.19%.
Current ratio2.86
Quick ratio--
Total debt/total equity1.23
Total debt/total capital0.5517
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