MarketBrain

Roadzen Inc.

Financial highlights

MetricFY March 31, 2025FY March 31, 2024FY March 31, 2023FY December 31, 2022
Revenue$44.3M$46.7M$13.6M
Operating income-$60.8M-$77.7M-$11.5M
Operating expenses$7.1M$3.5M$2.0M
Cash from operations-$18.1M-$19.2M-$7.5M-$1.2M
Capital expenditure$424,910$455,924$842,045
Free cash flow-$18.6M-$19.7M-$8.4M
Impairments$664,903
Total assets$32.6M$58.1M$15.2M$207.3M
Total liabilities$58.3M$68.6M$18.0M$8.0M

Shares outstanding 79.7M · Free float 41.7%

Annual filing data through FY ended March 31, 2025; float as of June 27, 2026.