BuzzFeed Key Fundamental And Technical Indicators

BZFD Stock  USD 0.82  -0.05  -5.75%   
Financial ratios for BuzzFeed include profitability, liquidity, leverage, and capital-structure metrics. BuzzFeed trades at a price-to-earnings ratio of 6.97. The current ratio is 1.89, showing the ability to cover short-term obligations. As of now, the relative strength indicator for BuzzFeed is 0, signaling extreme oversold conditions. Historically, RSI levels this depressed have preceded relief bounces, though the magnitude and duration vary widely.
Momentum
OversoldOverbought
0 · Capitulated
Market data as of the 10th of May shows BuzzFeed priced at 0.82 per share. Measured indicators report Mean Deviation of 2.8, risk adjusted performance of 0.0167, and Downside Deviation of 4.04. The model examines historical data series to identify measurable trend characteristics. At this level, volatility clustering becomes more pronounced. Technical levels are measured against peer distributions.
Analyzing historical trends in BuzzFeed's income statement and balance sheet accounts supports evaluation. Fundamental drivers influencing BuzzFeed's valuation are shown below:
 Gross Profit
78.02 million
 Profit Margin
-33.0%
 Market Capitalization
30.98 million
 Enterprise Value Revenue
0.58
 Revenue
185.27 million
BuzzFeed reports one hundred twenty trackable fundamental signals that can be benchmarked against peers in the industry. Traders should compare all of BuzzFeed's prevailing fundamentals against the fundamentals between 2010 and 2026 to make sure the company is sustainable this year. Based on figures reported as of December 31, 2025, Market Cap is near current levels at $40.47 million. In addition to that, Enterprise Value is near current levels at $129.42 million. Equity Screeners extend this analysis with cross-sector and cross-asset filtering. Broader equity comparisons covering multiple asset classes are supported.

Balance Sheet Accounts

Current ValueLast YearHistorical Average 10 Year Trend
Common Stock Shares Outstanding39.01 million37.84 million36.8 M
Stable
Total Assets$290.2 million$188.14 million296.2 M
High Variability
Other Current Liabilities$36.2 million$25.04 million42.1 M
High Variability
Total Current Liabilities$117.19 million$95.22 million78.1 M
Moderate Growth
Other Liabilities$836,190$880,20015.9 M
Moderate Decline
Property Plant And Equipment Net$44.52 million$27.51 million34.9 M
High Variability
Current Deferred Revenue$3.81 million$7.41 million2.4 M
High Variability
Accounts Payable$22.61 million$19.55 million15.1 M
Moderate Growth
Cash$8.04 million$8.46 million53.1 M
High Variability
Non Current Assets Total$96.92 million$102.02 million127.1 M
High Variability
Non Current Assets Other$63.09 million$47.72 million42.9 M
High Variability
Other Assets$0.86$0.919.2 M
Consistent Decline
Cash And Short Term Investments$8.04 million$8.46 million53.1 M
High Variability
Net Receivables$72.6 million$45.5 million94.3 M
Moderate Variation
Liabilities And Stockholders Equity$290.2 million$188.14 million296.2 M
High Variability
Non Current Liabilities Total$40.69 million$42.84 million369.7 M
Consistent Decline
Inventory$0.86$0.94.3 M
Moderate Decline
Other Current Assets$22.98 million$32.16 million16.5 M
Moderate Growth
Other Stockholder Equity$576.65 million$732.66 million268.3 M
Moderate Growth
Total Liabilities$267.29 million$138.05 million454.3 M
Moderate Decline
Property, Plant and Equipment (Gross)$84.6 million$77.48 million72.6 M
Moderate Growth
Total Current Assets$131.3 million$86.12 million165.5 M
Moderate Variation
Capital Stock$4,370$4,6005.9 K
High Variability
Non Current Liabilities Other$237,500$250,000M
Moderate Decline
Short Term Debt$65.68 million$43.23 million49.2 M
High Variability
Intangible Assets$9.66 million$10.17 million27.1 M
High Variability
Common Stock$8,800$4,600K
High Variability
Property Plant Equipment$19.18 million$16 million25.4 M
Consistent Decline
Short and Long Term Debt Total$140.08 million$85.82 million65.2 M
Moderate Growth
Long Term Debt$23.82 million$25.07 million37 M
High Variability
Deferred Long Term Liabilities$153,900$162,000M
Moderate Decline
Noncontrolling Interest In Consolidated Entity$2.67 million$3 million3.3 M
Stable
Common Stock Total Equity$12,000$13,50014.7 K
Stable
Capital Surplus$572.99 million$644.61 million703.6 M
Stable
Short and Long Term Debt$48.27 million$30.52 million109.1 M
Moderate Decline

Income Statement

Current ValueLast YearHistorical Average 10 Year Trend
Depreciation And Amortization$16.12 million$15.83 million20.7 M
Moderate Decline
Selling General Administrative$66.97 million$50.43 million84.8 M
Moderate Variation
Selling And Marketing Expenses$14.97 million$15.76 million61.8 M
Consistent Decline
Total Revenue$229.77 million$185.27 million293.3 M
Moderate Variation
Gross Profit$107.21 million$59.29 million134.1 M
Moderate Variation
Other Operating Expenses$262.21 million$198.37 million351.9 M
Moderate Decline
Research Development$15.02 million$10.79 million22.2 M
Moderate Decline
Cost Of Revenue$122.56 million$125.98 million159.1 M
Moderate Decline
Total Operating Expenses$139.65 million$72.39 million192.8 M
Moderate Decline
Reconciled Depreciation$25.43 million$15.83 million22.6 M
Moderate Variation
Non Recurring$83.6 million$94.05 million102.7 M
Stable
Non Operating Income Net Other$4.93 million$5.55 million6.1 M
Stable

Cash Flow Statement Items

Current ValueLast YearHistorical Average 10 Year Trend
Stock Based Compensation$9.74 million$5.82 million7.1 M
High Variability
Begin Period Cash Flow$51.01 million$38.65 million53.1 M
High Variability
Depreciation$16.12 million$15.83 million20.7 M
Moderate Decline
Capital Expenditures$1.86 million$1.96 million14.7 M
Moderate Decline
End Period Cash Flow$23 million$24.21 million66.7 M
Moderate Decline
Change Receivables$19.15 million$21.55 million23.5 M
Stable
Dividends Paid$4 million$4.5 million4.9 M
Stable
Cash Flows Other Operating$5.05 million$5.68 million6.2 M
Stable

Financial Ratios

Current ValueLast YearHistorical Average 10 Year Trend
Price To Sales Ratio0.18x0.19x3.2188
Consistent Decline
Days Sales Outstanding124.0989.63114
Stable
Stock Based Compensation To Revenue0.02x0.03x0.02
High Variability
Capex To Depreciation$0.12$0.120.6892
Moderate Decline
EV To Sales0.58x0.61x2.8535
Consistent Decline
Payables Turnover10.676.4412.6183
Moderate Decline
Sales General And Administrative To Revenue0.5x0.36x0.502
Moderate Decline
Research And Ddevelopement To Revenue0.07x0.06x0.075
Moderate Decline
Capex To Revenue0.01x0.01x0.0492
Moderate Decline
Cash Per Share0.210.221.5733
High Variability
Days Payables Outstanding40.8456.6436.2142
Moderate Growth
Income Quality$0.31$0.330.7529
High Variability
Intangibles To Total Assets$0.17$0.120.1322
High Variability
Current Ratio0.860.92.6053
Moderate Decline
Receivables Turnover2.644.073.205
Moderate Variation
Capex Per Share0.050.050.3994
Moderate Decline
Revenue Per Share9.024.98.2071
Moderate Variation
Interest-Bearing Debt Per Share3.032.421.8938
Moderate Growth
Debt To Assets0.26x0.46x0.1745
Moderate Growth
Graham Number$10.75$12.113.2065
Stable
Operating Cycle$124.09$89.63114
Stable
Days Of Payables Outstanding40.8456.6436.2142
Moderate Growth
Ebt Per Ebit$4.56$4.351.3801
Moderate Growth
Quick Ratio0.860.92.6053
Moderate Decline
Cash Ratio0.080.090.8789
Moderate Decline
Days Of Sales Outstanding124.0989.63114
Stable
Fixed Asset Turnover9.586.749.8467
High Variability
Debt Ratio0.260.460.1745
Moderate Growth
Price Sales Ratio0.18x0.19x3.2188
Consistent Decline
Asset Turnover0.960.981.1022
Moderate Decline
Gross Profit Margin51.00%32.00%0.4557
Moderate Variation

Valuation Indicators

Current ValueLast YearHistorical Average 10 Year Trend
Market Cap$38.45 million$40.47 million951.1 M
Consistent Decline
Enterprise Value$122.95 million$129.42 million846.2 M
Moderate Decline

Core Fundamental Drivers

Forward Price Earnings172.4138
Cash And Short Term Investments8.46 million

Operating Margin TTM Driver Correlations

The linear correlation between Operating Margin TTM and BuzzFeed's adjacent financial drivers reveals structural dependencies. The strongest correlations highlight which accounts amplify or offset changes in Operating Margin TTM.
Competition

BuzzFeed Accumulated Other Comprehensive Income

Accumulated Other Comprehensive Income

$-3.9 million
Accumulated Other Comprehensive Income stood at $-3.71 million as of December 31, 2025.

BuzzFeed Fundamental Drivers Relationships

ROE stood at -1.11 as of December 31, 2025. Related reported metric: Return On Asset TTM at -32.00% as of December 31, 2025.

Main Technical Indicators as of May 10, 2026

Daily Market Strength Indicators

For investors tracking BuzzFeed, market strength indicators offer quantitative evaluation of stock behavior. When Rate of Change diverges from price direction, it often signals weakening momentum before a visible reversal in BuzzFeed.

Basic Forecasting Models

Analyzing BuzzFeed's price movement through moving averages at different time horizons reveals whether short-term momentum aligns with the longer-term trend. Touches of the upper or lower band in BuzzFeed's chart signal overbought or oversold conditions.

BuzzFeed Related Equities

The stocks listed below are peers of BuzzFeed within the Communication Services space and offer context for ranking and strength. Checking cash flow across this peer set helps gauge BuzzFeed's relative financial strength. Peer review is most informative when paired with absolute pricing and trend checks.
 Risk & Return  Correlation

Operating Margin TTM Peer Comparison

Comparing BuzzFeed to its peers on Operating Margin TTM is a standard technique for assessing relative investment value. This comparison reveals whether BuzzFeed's Operating Margin TTM is in line with or diverges from that of direct competitors.
BuzzFeed is currently under evaluation for operating margin ttm relative to top peers.

Important Fundamentals

Financial Metrics, Fundamentals & Methodology

Reviewing BuzzFeed means checking how consistently revenue is converted into earnings and cash flow. Balance-sheet composition shapes financial flexibility and solvency risk. BuzzFeed financial statements report revenue of 185.27 million, EPS loss of 1.53, operating margin of 13.1%, current ratio of 1.89 as of the latest reporting period.

BuzzFeed analytics rely on periodic company reporting and market reference feeds, with quality checks and normalization applied. Statement-level metrics reflect company-reported GAAP or IFRS formats for the relevant filing period.

Editorial review and methodology oversight provided by: Rifka Kats, Member of Macroaxis Editorial Board