Executive Summary
Box Inc delivered a solid Q3 2025 in USD terms, characterized by durable revenue momentum and strong gross margins, underscored by meaningful free cash flow generation. Revenue of $275.9 million represents YoY growth of approximately 5.5% and QoQ growth of about 2.2%, reflecting continued demand for Box’s cloud content management platform among enterprise customers. Gross profit reached $220.4 million with a robust gross margin of 79.9%, while operating income of $23.4 million and net income of $12.9 million translated into an operating margin of 8.5% and a net margin of 4.7%. EBITDA stood at $29.3 million, with depreciation and amortization of $5.93 million and interest expense of $6.12 million, highlighting a capital-light SaaS profile with meaningful ongoing investments in platform development.
From a cash flow perspective, Box generated $62.6 million of cash from operations and $62.3 million of free cash flow, delivering a healthy liquidity profile as of the quarter end. The company carried a substantial cash balance (approximately $610 million to $698 million on aggregate reporting data) against a total debt load reported at $753 million, yielding a modest net debt position under the disclosed figures. Deferred revenue remained elevated at $475.5 million, indicating a large portion of future subscription revenue already billed but yet to be recognized, which supports revenue visibility in the near term and underscores the subscription-based nature of Box’s model.
While the quarterly performance was encouraging, Box’s results also highlight ongoing investments in product development (R&D of about $67.9 million) and go-to-market activity (SG&A about $129.1 million). The top-line strength alongside a high gross margin profile and ample liquidity positions Box favorably within the competitive SaaS landscape. Nonetheless, investors should monitor ARR growth, customer retention dynamics, and expense discipline as Box continues to scale and potentially invest in AI-enabled features and platform enhancements to sustain profitability in a crowded field.
Key Performance Indicators
Revenue
275.91M
QoQ: 2.18% | YoY:5.50%
Gross Profit
220.36M
79.86% margin
QoQ: 2.72% | YoY:14.58%
Operating Income
23.41M
QoQ: 15.44% | YoY:105.74%
Net Income
12.89M
QoQ: -37.10% | YoY:20.99%
EPS
0.05
QoQ: -46.53% | YoY:-28.11%
Revenue Trend
Margin Analysis
Key Insights
- Net cash provided by operating activities: $62.582 million
- Free cash flow: $62.311 million
- Capital expenditures: $0.271 million (approx.)
- Free cash flow margin: ~22.6% of revenue
- Cash and cash equivalents: approximately $608.8 million (balance sheet)