Roadzen, Inc. operates as an insurance technology company. The company is headquartered in Burlingame, California and currently employs 294 full-time employees. The company went IPO on 2021-11-23. Roadzen builds technology that helps insurers, automakers, and fleets better predict and prevent risk, automate claims, and deliver seamless, embedded insurance experiences. Its technology is used by clients including insurers, carmakers, and fleets to dealerships and agents to build new products, sell insurance, process claims, and improve road safety. The company is an Insurtech platform and provides solutions in relation to insurance products, including distribution, pre-inspection assistance, telematics, claims submission and administration, and roadside assistance. Roadzen provides an IaaS technology platform addressed towards insurance for mobility. The IaaS platform has a suite of products including Via, Global Distribution Network, xClaim, StrandD, Good Driving, DrivebuddyAI, and MixtapeAI.
Resultados financieros en millones de dólares estadounidenses. El ejercicio fiscal es febrero - enero.
Breakdown
TTM
12/31/2025
09/30/2025
06/30/2025
03/31/2025
12/31/2024
Ingresos
50
14
13
10
11
12
Crecimiento de los Ingresos (YoY)
19%
17%
18%
25%
10%
-20%
Costo de los ingresos
19
5
6
4
3
4
Utilidad bruta
30
9
7
6
7
7
Venta, General y Administración
39
10
10
8
9
10
Investigación y Desarrollo
0
0
0
0
0
0
Gastos de Operación
43
11
10
8
11
10
Otras Ingresos (Gastos) No Operativos
6
1
1
0
3
0
Ingreso antes de impuestos
-15
-9
-2
-4
0
-2
Gasto por Impuesto a la Renta
0
0
0
0
0
0
Ingreso Neto
-15
-9
-2
-4
0
-2
Crecimiento de la Utilidad Neta
-86%
350%
-91%
-92%
-100%
-93%
Acciones en Circulación (Diluidas)
78.78
78.78
75.67
74.29
73.7
69
Cambio de Acciones (YoY)
14%
14%
11%
9%
8%
1%
EPS (Diluido)
-0.19
-0.11
-0.02
-0.05
0
-0.04
Crecimiento de EPS
-87%
190%
-91%
-92%
-100%
-91%
Flujo de efectivo libre
-20
-7
-5
-3
-4
-3
Flujo de efectivo libre por acción
--
--
--
--
--
--
Margen bruto
60%
64.28%
53.84%
60%
63.63%
58.33%
Margen de operación
-26%
-14.28%
-23.07%
-20%
-27.27%
-25%
Margen de beneficio
-30%
-64.28%
-15.38%
-40%
0%
-16.66%
Margen de flujo de caja libre
-40%
-50%
-38.46%
-30%
-36.36%
-25%
EBITDA
-11
-2
-3
-2
-2
-3
Margen de EBITDA
-22%
-14.28%
-23.07%
-20%
-18.18%
-25%
D&A para EBITDA
2
0
0
0
1
0
EBIT
-13
-2
-3
-2
-3
-3
Margen de EBIT
-26%
-14.28%
-23.07%
-20%
-27.27%
-25%
Tasa de Impuesto Efectiva
0%
0%
0%
0%
0%
0%
Follow-Up Questions
Roadzen Inc'in temel mali tabloları nelerdir?
Son mali tabloya (Form-10K) göre, Roadzen Inc'in toplam varlıkları $0 olup, net pérdida $0'dir.
RDZN'ün temel finansal oranları nelerdir?
Roadzen Inc'in cari oranı 0, net kâr marjı 0, hisse başına satış $0'dir.
Roadzen Inc'in geliri segment veya coğrafya bazında nasıl dağılıyor?
El segmento de ingresos más grande es Roadzen Inc, con unos ingresos de Commission and Distribution en el último informe de ganancias. En cuanto a la geografía, United States es el mercado principal para Roadzen Inc, con unos ingresos de 46,724,287.
Roadzen Inc kârlı mı?
no, son mali tablolara göre Roadzen Inc'in net pérdida $0'dir.
Roadzen Inc'in herhangi bir yükümlülüğü var mı?
no, Roadzen Inc'in yükümlülüğü 0'dir.
Roadzen Inc'in tedavüldeki hisse sayısı kaçtır?
Roadzen Inc'in toplam tedavüldeki hisse sayısı 0'dir.