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BUTTERFLY NETW-A (BFLY)
NYSE
$7.71+$0.44 (+5.98%)
Price as of Jun 23, 2026 7:57 PM EDT- $1.7BMarket Cap
- 254.63%1-Year Change
- Medical DevicesIndustry
BUTTERFLY NETW-A (BFLY)
$7.71+$0.44 (+5.98%)
Annual
Quarterly
12/31/2025 | 12/31/2024 | 12/31/2023 | 12/31/2022 | ||
|---|---|---|---|---|---|
Income Statement | |||||
Total Operating Revenue | 63.4M -22.68% | 82.1M +24.52% | 65.9M -10.21% | 73.4M +17.30% | |
Cost of Revenue | 44.1M +32.63% | 33.2M -32.25% | 49.0M +44.54% | 33.9M -25.45% | |
Gross Profit | 45.7M -6.34% | 48.8M +189.70% | 16.9M -57.28% | 39.5M +131.38% | |
Sales and Marketing Expense | 45.9M +10.37% | 41.6M +6.38% | 39.1M -34.76% | 59.9M +20.73% | |
Research and Development Expense | -36.3M -4.07% | -37.8M -32.03% | -55.6M -37.59% | -89.1M +19.69% | |
Depreciation and Amortization Expense | 6.7M -24.72% | 8.9M +2.30% | 8.7M +46.59% | 5.9M +183.97% | |
Total Operating Expenses | 132.1M +7.23% | 123.2M -24.14% | 162.5M -30.12% | 232.5M +10.82% | |
Operating Profit | -86.4M +16.13% | -74.4M -48.90% | -145.6M -24.56% | -193.0M +0.15% | |
Interest Income | 5.9M +17.75% | 5.0M -32.62% | 7.5M +120.15% | 3.4M +31.52% | |
Interest Expense | N/A N/A | N/A N/A | -2,000 0.00% | -2,000 -99.69% | |
Interest Income and Expense and Net | 5.9M +17.75% | 5.0M -32.60% | 7.4M +120.22% | 3.4M +75.96% | |
Total Nonoperating Income and Expense | 2.8M +21,392.31% | -13,000 +550.00% | -2,000 -102.04% | 98,000 +103.80% | |
Income before Taxes | -77.0M +6.11% | -72.5M -45.72% | -133.6M -20.79% | -168.7M +422.43% | |
Income Taxes | 110,000 +443.75% | -32,000 -139.02% | 82,000 +95.24% | 42,000 -65.29% | |
Extraordinary Items | N/A N/A | N/A N/A | N/A N/A | 0 N/A | |
Net Income | -77.1M +6.31% | -72.5M -45.78% | -133.7M -20.76% | -168.7M +420.61% | |
Net Income from Continuing Operations Applicable to Common | -77.0M +6.11% | -72.5M -45.72% | -133.6M -20.79% | -168.7M +422.43% | |
Basic EPS and Net Income | -0.31 -8.82% | -0.34 -47.69% | -0.65 -22.62% | -0.84 +342.11% | |
Diluted EPS and Net Income | -0.31 -8.82% | -0.34 -47.69% | -0.65 -22.62% | -0.84 +342.11% | |
Basic Weighted Average Shares | 247.1M +16.74% | 211.7M +3.07% | 205.4M +2.77% | 199.8M +14.98% | |
Diluted Weighted Average Shares | 247.1M +16.74% | 211.7M +3.07% | 205.4M +2.77% | 199.8M +14.98% | |
Balance Sheet | |||||
Cash and Cash Equivalents | 150.5M +69.52% | 88.8M -33.97% | 134.4M -17.30% | 162.6M -61.56% | |
Short-Term Investments | N/A N/A | N/A N/A | 75.3M 0.00% | 75.3M N/A | |
Cash and Cash Equivalents and Short-Term Investments | 150.5M +69.52% | 88.8M -57.66% | 209.7M -11.83% | 237.8M -43.76% | |
Total Current Assets | 249.1M +29.33% | 192.6M -16.71% | 231.3M -35.25% | 357.1M -30.23% | |
Accumulated Depreciation | 33.3M +23.75% | 26.9M +47.83% | 18.2M +64.60% | 11.1M +105.62% | |
Property and Plant and Equipment and Net | 16.6M -15.02% | 19.5M -22.92% | 25.3M -19.18% | 31.3M +113.09% | |
Total Long-Term Assets | 5.7M -1.61% | 5.8M -10.31% | 6.4M -14.77% | 7.5M -11.28% | |
Total Assets | 296.5M +15.80% | 256.1M -15.84% | 304.3M -27.13% | 417.6M -26.99% | |
Income Taxes Payable | 2.5M +5.18% | 2.4M +96.83% | 1.2M -16.99% | 1.4M -41.78% | |
Total Short-Term Debt | N/A N/A | N/A N/A | N/A N/A | 88,000 0.00% | |
Total Current Liabilities | 65.1M +35.06% | 48.2M +8.91% | 44.3M -13.75% | 51.3M +3.01% | |
Total Long-Term Debt | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Total Long-Term Liabilities | 8.3M -3.61% | 8.6M -2.90% | 8.9M +1,412.76% | 588,000 -30.82% | |
Total Liabilities | 100.6M +15.25% | 87.3M +3.60% | 84.2M -8.66% | 92.2M -25.80% | |
Retained Earnings | -879.2M +9.61% | -802.1M +9.94% | -729.6M +22.44% | -595.9M +39.49% | |
Total Stockholders Equity | 196.0M +16.08% | 168.8M -23.28% | 220.1M -32.37% | 325.4M -27.32% | |
Total Shares Outstanding | 227.3M -47.15% | 430.1M +3.57% | 415.3M +3.37% | 401.8M +1.44% | |
Cash Flow | |||||
Cash from Operating Activities | -12.7M -69.55% | -41.7M -57.79% | -98.8M -41.57% | -169.1M -10.61% | |
Capital Expenditures | 3.3M +24.28% | 2.7M -53.42% | 5.8M -68.40% | 18.3M +132.35% | |
Cash from Investing Activities | -3.3M +25.96% | -2.7M -103.77% | 70.4M +175.09% | -93.8M +850.14% | |
Dividends Paid | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Cash from Financing Activities | 77.8M +5,301.47% | -1.5M -755.70% | 228,000 -92.09% | 2.9M -99.49% | |
Financials Ratio | |||||
Gross Margin | 30.54% -48.67% | 59.51% +132.66% | 25.58% -52.43% | 53.77% +97.25% | |
Operating Margin | -136.21% +50.20% | -90.68% -58.96% | -220.96% -15.99% | -263.01% -14.62% | |
Return on Assets | -27.89% +7.80% | -25.87% -30.15% | -37.04% +8.63% | -34.10% +419.07% | |
Return on Equity | -42.25% +13.32% | -37.28% -23.96% | -49.03% +12.32% | -43.65% +204.86% | |
Revenue Growth | -22.68% -192.52% | 24.52% +340.22% | -10.21% -158.99% | 17.30% N/A | |
Current Ratio | 3.83 -4.24% | 3.99 -23.53% | 5.22 -24.92% | 6.96 -32.27% | |
Cash Ratio | 2.31 +25.52% | 1.84 -39.37% | 3.04 -4.11% | 3.17 -62.68% | |
Debt-to-Equity Ratio | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Debt-to-Assets Ratio | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Earnings & Revenue History
Debt-to-Assets
Cash Flow