NYSE$FIG

Figma Inc · Q3 2025 earnings

Q3 2025 earnings · · After market close

Briefing

Figma reported Q3 2025, a net loss of $1.10B.

For Q3 2025, Figma reported a net loss of $1.10B. The filing highlights segment trends, liquidity, and management commentary on the period.

  • Net loss $1.10B.
  • Figma discusses capital allocation and near-term priorities.
  • Figma discusses capital allocation and near-term priorities.

Headline financials

Total Revenue

$274M

No prior period
EPS

-$2.72

No prior period
Non-GAAP Operating Income

$34M

No prior period
Non-GAAP Net Income

$62.3M

No prior period
Non-GAAP Operating Margin

12.0%

No prior period
Adjusted Free Cash Flow Margin

18.0%

No prior period
Free Cash Flow Margin

18.0%

No prior period
Paid Customers >$10k ARR

12.9K

No prior period
Paid Customers >$100k ARR

1.3K

No prior period
Net Dollar Retention Rate

131.0%

No prior period
Capital Expenditures

-$3.71M

No prior period
Free Cash Flow

-$1.1B

No prior period
Net Income

-$1.1B

No prior period
Operating Income

-$1.14B

No prior period
Gross Profit

$190M

No prior period

Revenue & EPS history

Figma Inc · Revenue · Quarterly

$274M

Q3 2025
Beat estimate in 4 of 4 quarters(100%)
ActualEstimate

Forward guidance

Management discusses operating priorities, capital allocation, and sector-specific risks in the quarterly filing.

Tailwinds

  • Headline results and segment commentary anchor the quarter narrative.
  • Balance sheet and liquidity support ongoing operations or returns.
  • Strategic initiatives cited in the release or MD&A.

Headwinds

  • Macro, rates, or input costs may pressure margins.
  • One-time items can affect year-over-year comparability.
  • Execution risk on guidance or restructuring plans.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 2 quarterly earnings reports · overlaid with Q3 2025

Historical avgQ3 2025

-0.5%

Avg return

Earnings day

+3.8%

Avg return

5 days after

-10.0%

Avg return

30 days after

75%

3 / 4 earnings

Positive

+6.9%

Q4 2025

Best reaction

-19.9%

Q2 2025

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026+6.6%+22.7%-2.3%
Q4 2025+6.9%+13.4%-1.9%
Q3 2025+4.5%+1.1%-13.7%
Q2 2025-19.9%-21.7%-22.1%

Discussion

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