Roadzen Inc. Financial Summary

Quick Answer

Roadzen Inc. reported Total Revenue of $44.30 million for fiscal year 2025.

Roadzen Inc. — Key Financials by Year

Metric 2025 2024 2023 2022 2021
Total Revenue $44.30M
-5.2%
$46.72M
+244.6%
$13.56M
Revenue (ASC 606) $44.30M
-5.2%
$46.72M
+244.6%
$13.56M
Net Income -$72.87M
+26.9%
-$99.67M
-610.7%
-$14.02M
-1526.0%
$983.4K
Diluted EPS -$1.04
+54.0%
-$2.26
-162.8%
-$0.86
Total Assets $32.58M
-44.0%
$58.14M
+282.9%
$15.18M
-92.7%
$207.29M
+0.9%
$205.39M
Cash and Equivalents $4.84M
-56.8%
$11.19M
+1798.1%
$589.3K
Long-Term Debt $139.8K
-90.5%
$1.47M
+125.5%
$653.3K
Stockholders Equity -$25.07M
-148.9%
-$10.07M
+80.2%
-$50.85M
-37.9%
-$36.88M $0.00
R&D Expense $3.78M
-24.0%
$4.97M
+86.3%
$2.67M
Operating Income -$60.81M
+21.7%
-$77.66M
-573.4%
-$11.53M
Shares Outstanding 74.29M
+8.5%
68.44M
+314.7%
16.50M

Most Recent Quarter

Metric Quarter Ending Value YoY QoQ
Total Revenue December 31, 2025 $14.36M +18.8% +4.9%
Revenue (ASC 606) December 31, 2025 $14.36M +18.8% +4.9%
Net Income December 31, 2025 -$9.15M -263.4% -334.0%
Diluted EPS December 31, 2025 -$0.12 -200.0% -300.0%
Total Assets December 31, 2025 $44.87M +40.2% +8.0%
Cash and Equivalents December 31, 2025 $5.14M -11.5% +3.4%
Long-Term Debt December 31, 2025 $4.85M +4039.4% +0.0%
Stockholders Equity December 31, 2025 -$26.60M +9.0% +5.1%
R&D Expense December 31, 2025 $294.0K +17.8% +97.9%
Operating Income December 31, 2025 -$2.36M +25.4% +29.2%
Shares Outstanding December 31, 2025 79.50M +10.5% +4.6%
  • Roadzen Inc. reported Total Revenue of $44.30 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -5.2% in Total Revenue compared to the prior fiscal year.
  • Roadzen Inc. reported Revenue (ASC 606) of $44.30 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -5.2% in Revenue (ASC 606) compared to the prior fiscal year.
  • Roadzen Inc. reported Net Income of -$72.87 million for fiscal year 2025.
  • Roadzen Inc. showed an increase of +26.9% in Net Income compared to the prior fiscal year.
  • Roadzen Inc. reported Diluted EPS of $1.04 per share (loss) for fiscal year 2025.
  • Roadzen Inc. showed an increase of +54.0% in Diluted EPS compared to the prior fiscal year.
  • Roadzen Inc. reported Total Assets of $32.58 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -44.0% in Total Assets compared to the prior fiscal year.
  • Roadzen Inc. reported Cash and Equivalents of $4.84 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -56.8% in Cash and Equivalents compared to the prior fiscal year.
  • Roadzen Inc. reported Long-Term Debt of $139.8 thousand for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -90.5% in Long-Term Debt compared to the prior fiscal year.
  • Roadzen Inc. reported Stockholders Equity of -$25.07 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -148.9% in Stockholders Equity compared to the prior fiscal year.
  • Roadzen Inc. reported R&D Expense of $3.78 million for fiscal year 2025.
  • Roadzen Inc. showed a decrease of -24.0% in R&D Expense compared to the prior fiscal year.
  • Roadzen Inc. reported Operating Income of -$60.81 million for fiscal year 2025.
  • Roadzen Inc. showed an increase of +21.7% in Operating Income compared to the prior fiscal year.
  • Roadzen Inc. reported Shares Outstanding of 74.29 million shares for fiscal year 2025.
  • Roadzen Inc. showed an increase of +8.5% in Shares Outstanding compared to the prior fiscal year.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 17, 2026.

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