Lightspeed Commerce Inc. Financial Summary

Quick Answer

Lightspeed Commerce Inc. reported gross profit of $450.20 million for fiscal year 2025, reported under IFRS on Form 20-F.

Reported under IFRS (SEC Form 20-F). Figures are shown in USD where the company provided them, otherwise in its reporting currency — each value exactly as filed with the SEC, not converted.

Lightspeed Commerce Inc. — Key Financials by Year

Metric 2025 2024 2023 2022 2021 2020
Gross Profit $450.20M
+16.9%
$385.25M
+16.1%
$331.96M
+22.4%
$271.17M
+112.4%
$127.67M
+57.7%
$80.97M
Operating Profit -$696.01M
-242.8%
-$203.02M
+81.5%
-$1.10B
-245.2%
-$318.34M
-145.4%
-$129.72M
-122.1%
-$58.41M
Net Income -$667.20M
-306.9%
-$163.96M
+84.7%
-$1.07B
-271.0%
-$288.43M
-132.1%
-$124.28M
-132.2%
-$53.53M
Basic EPS -$4.34
-305.6%
-$1.07
+85.0%
-$7.11
-248.5%
-$2.04
-72.9%
-$1.18
-90.3%
-$0.62
Diluted EPS -$4.34
-305.6%
-$1.07
+85.0%
-$7.11
-248.5%
-$2.04
-72.9%
-$1.18
-90.3%
-$0.62
Total Assets $1.83B
-29.1%
$2.58B
-3.5%
$2.67B
-26.3%
$3.62B
+71.9%
$2.11B
+340.0%
$478.43M
Total Liabilities $162.24M
-0.3%
$162.75M
-5.0%
$171.28M
-22.4%
$220.69M
+29.0%
$171.04M
+27.4%
$134.29M
Total Equity $1.66B
-31.0%
$2.41B
-3.4%
$2.50B
-26.5%
$3.40B
+75.7%
$1.93B
+462.1%
$344.14M
+75.0%
Operating Cash Flow -$32.76M
+66.5%
-$97.67M
+22.0%
-$125.28M
-43.6%
-$87.22M
+6.3%
-$93.06M
-226.0%
-$28.55M
R&D Expense $120.33M
-7.0%
$129.42M
-7.9%
$140.44M
+15.9%
$121.15M
+119.1%
$55.30M
+68.9%
$32.75M
  • Lightspeed Commerce Inc. reported gross profit of $450.20 million for fiscal year 2025.
  • That is an increase of +16.9% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported operating profit of -$696.01 million for fiscal year 2025.
  • That is a decrease of -242.8% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported net income of -$667.20 million for fiscal year 2025.
  • That is a decrease of -306.9% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported basic eps of $-4.34 per share for fiscal year 2025.
  • That is a decrease of -305.6% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported diluted eps of $-4.34 per share for fiscal year 2025.
  • That is a decrease of -305.6% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported total assets of $1.83 billion for fiscal year 2025.
  • That is a decrease of -29.1% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported total liabilities of $162.24 million for fiscal year 2025.
  • That is a decrease of -0.3% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported total equity of $1.66 billion for fiscal year 2025.
  • That is a decrease of -31.0% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported operating cash flow of -$32.76 million for fiscal year 2025.
  • That is an increase of +66.5% versus the prior fiscal year.
  • Lightspeed Commerce Inc. reported r&d expense of $120.33 million for fiscal year 2025.
  • That is a decrease of -7.0% versus the prior fiscal year.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 19, 2026.

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