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FVRRFiverr International Ltd.
$10.38$373M
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FVRR logoFiverr International Ltd.(FVRR)Earnings, Financials & Key Ratios

FVRR•NYSE
18.5× P/E·Price updated Jun 19, 2026
SectorCommunication ServicesIndustryInternet ServicesSub-IndustryOnline Marketplaces and Classifieds
AboutFiverr International Ltd. operates an online marketplace worldwide. Its platform enables sellers to sell their services and buyers to buy them. The company's platform includes approximately 550 categories in nine verticals, including graphic and design, digital marketing, writing and translation, video and animation, music and audio, programming and technology, business, data, and lifestyle. It also offers Fiverr Workspace, which provides freelancers a software solution to manage invoicing, contracts, time tracking, and organizing workflow; Fiverr Learn and CreativeLive that offers learning and development offerings for freelancers; ClearVoice, a subscription based content marketing platform; and Stoke Talent, a freelancer management system. In addition, the company provides back office and creative talent platforms. Its buyers include businesses of various sizes, as well as sellers comprise a group of freelancers and small businesses. The company was incorporated in 2010 and is headquartered in Tel Aviv-Yafo, Israel.Show more
  • Revenue$431M+10.1%
  • EBITDA$14M+353.0%
  • Net Income$21M+15.0%
  • EPS (Diluted)0.56+16.7%
  • Gross Margin80.7%-1.6%
  • EBITDA Margin3.14%+329.8%
  • Operating Margin-0.27%+93.2%
  • Net Margin4.87%+4.5%
  • ROE5.42%+6.7%

FVRR Key Insights

Fiverr International Ltd. (FVRR) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Strong Piotroski F-Score: 8/9
  • ✓FCF machine: 24.1% free cash flow margin
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Strong 5Y sales CAGR of 17.9%
  • ✓Trading at only 0.9x book value

✗Weaknesses

  • ✗Weak 3Y average ROE of 3.9%
  • ✗Weak momentum: RS Rating 16 (bottom 16%)
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

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FVRR Price & Volume

Fiverr International Ltd. (FVRR) stock price & volume — 10-year historical chart

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FVRR Growth Metrics

Fiverr International Ltd. (FVRR) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years-
5 Years17.86%
3 Years8.5%
TTM5.94%

Profit CAGR

10 Years-
5 Years-
3 Years-
TTM57.48%

EPS CAGR

10 Years-
5 Years-
3 Years-
TTM63.81%

Return on Capital

10 Years-24%
5 Years-4.25%
3 Years-1.62%
Last Year-0.29%

FVRR Recent Earnings

Fiverr International Ltd. (FVRR) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 6/12 qtrs (50%)●Beat Revenue 6/12 qtrs (50%)
Q2 2026Latest
Apr 29, 2026
Metric
Actual
Est
EPS
$0.62-1.6%
$0.63
Rev
$105M+1.2%
$104M
Q1 2026
Feb 18, 2026
Metric
Actual
Est
EPS
$0.86+13.2%
$0.76
Rev
$107M-1.7%
$109M
Q4 2025
Nov 5, 2025
Metric
Actual
Est
EPS
$0.77+10.0%
$0.70
Rev
$108M-1.0%
$109M
Q3 2025
Jul 30, 2025
Metric
Actual
Est
EPS
$0.69-4.2%
$0.72
Rev
$109M+0.2%
$108M
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q2 2026LatestApr 29, 2026
$0.62vs $0.63-1.6%
$105Mvs $104M+1.2%
Q1 2026Feb 18, 2026
$0.86vs $0.76+13.2%
$107Mvs $109M-1.7%
Q4 2025Nov 5, 2025
$0.77vs $0.70+10.0%
$108Mvs $109M-1.0%
Q3 2025Jul 30, 2025
$0.69vs $0.72-4.2%
$109Mvs $108M+0.2%
Based on last 12 quarters of dataView full earnings history →

FVRR Peer Comparison

Fiverr International Ltd. (FVRR) competitors in Online Marketplaces and Classifieds — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
Institutional Holdings
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
UPWK logoUPWKUpwork Inc.Direct Competitor994.32M8.059.702.4%13.81%17.92%0.60
TASK logoTASKTaskUs, Inc.Direct Competitor442.95M4.914.4618.95%8.7%21.23%0.50
FLNC logoFLNCFluence Energy, Inc.Direct Competitor3.26B24.80-67.03-16.15%-1.62%-8.29%0.71
RELY logoRELYRemitly Global, Inc.Direct Competitor4.44B21.1068.0629.37%6.12%12.66%0.25
ANGI logoANGIAngi Inc.Product Competitor201.33M5.025.34-13.04%1.93%2.06%0.54
HIMS logoHIMSHims & Hers Health, Inc.Product Competitor7.79B35.4769.5559%-0.56%-2.48%2.34
TRUP logoTRUPTrupanion, Inc.Product Competitor1.02B23.5452.3111.95%1.74%6.87%0.29
KFRC logoKFRCKforce Inc.Product Competitor829.64M45.3923.16-5.43%2.6%27.22%0.56

Compare FVRR vs Peers

Fiverr International Ltd. (FVRR) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs UPWK

Most directly comparable listed peer for FVRR.

Scale Benchmark

vs GOOGL

Larger-name benchmark to compare FVRR against a more recognizable public peer.

Peer Set

Compare Top 5

vs UPWK, TASK, FLNC, RELY

FVRR Income Statement

Fiverr International Ltd. (FVRR) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
MetricDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Sales/Revenue
52.11M75.5M107.07M189.51M297.66M337.37M361.38M391.48M430.91M429.22M
Revenue Growth %
-44.89%41.81%76.99%57.07%13.34%7.12%8.33%10.07%5.94%
Cost of Goods Sold
13.36M15.62M22.22M33.19M51.72M65.95M61.85M70.57M83.16M80.37M
COGS % of Revenue
25.64%20.69%20.76%17.51%17.38%19.55%17.11%18.03%19.3%-
Gross Profit
38.75M▲ 0%
59.88M▲ 54.5%
84.85M▲ 41.7%
156.32M▲ 84.2%
245.94M▲ 57.3%
271.42M▲ 10.4%
299.53M▲ 10.4%
320.92M▲ 7.1%
347.75M▲ 8.4%
348.84M▲ 0%
Gross Margin %
74.36%79.31%79.24%82.49%82.62%80.45%82.89%81.97%80.7%81.27%
Gross Profit Growth %
-54.53%41.69%84.24%57.33%10.36%10.36%7.14%8.36%-
Operating Expenses
58.27M96.35M119.6M168.13M291.28M345.95M314.64M336.73M348.93M336.33M
OpEx % of Revenue
111.82%127.61%111.7%88.72%97.86%102.55%87.07%86.02%80.98%-
Selling, General & Admin
42.2M70.32M85.12M122.41M211.98M225.76M223.92M246.49M259.45M252.12M
SG&A % of Revenue
80.98%93.13%79.49%64.59%71.22%66.92%61.96%62.96%60.21%-
Research & Development
16.07M26.04M34.48M45.72M79.3M92.56M90.72M90.24M89.48M84.21M
R&D % of Revenue
30.85%34.48%32.21%24.12%26.64%27.44%25.1%23.05%20.76%-
Other Operating Expenses
0000027.63M0000
Operating Income
-19.52M▲ 0%
-36.47M▼ 86.8%
-34.75M▲ 4.7%
-11.81M▲ 66.0%
-45.34M▼ 283.9%
-74.53M▼ 64.4%
-15.11M▲ 79.7%
-15.82M▼ 4.7%
-1.18M▲ 92.6%
12.51M▲ 0%
Operating Margin %
-37.46%-48.3%-32.45%-6.23%-15.23%-22.09%-4.18%-4.04%-0.27%2.92%
Operating Income Growth %
--86.8%4.71%66.01%-283.91%-64.39%79.73%-4.69%92.56%-
EBITDA
-18.43M-34.22M-31.18M-7.47M-38.46M-64.35M-9.12M-5.34M13.52M26.34M
EBITDA Margin %
-35.37%-45.32%-29.12%-3.94%-12.92%-19.07%-2.52%-1.36%3.14%6.14%
EBITDA Growth %
--85.64%8.88%76.04%-414.78%-67.3%85.82%41.44%353%912.06%
D&A (Non-Cash Add-back)
1.09M2.25M3.57M4.34M6.88M10.19M5.99M10.48M14.69M13.82M
EBIT
-19.52M-36.47M-34.75M-10.57M-44.69M-62M7.59M14.44M-1.18M19.33M
Net Interest Income
493K408K1.37M-2.54M-18.24M3.95M20.43M28.57M24.59M19.23M
Interest Income
493K408K1.37M1.87M1.92M12.87M23.15M31.26M24.59M19.23M
Interest Expense
0004.41M20.16M8.91M2.73M2.69M00
Other Income/Expense
493K408K1.37M-2.8M-19.51M3.62M20.16M27.71M24.59M19.23M
Pretax Income
-19.03M▲ 0%
-36.06M▼ 89.5%
-33.38M▲ 7.4%
-14.61M▲ 56.2%
-64.85M▼ 343.9%
-70.91M▼ 9.3%
5.05M▲ 107.1%
11.89M▲ 135.2%
23.42M▲ 97.0%
31.74M▲ 0%
Pretax Margin %
-36.52%-47.76%-31.17%-7.71%-21.79%-21.02%1.4%3.04%5.43%7.4%
Income Tax
294K0160K200K159K577K1.37M-6.36M2.43M3M
Effective Tax Rate %
-1.54%0%-0.48%-1.37%-0.25%-0.81%27.17%-53.48%10.39%9.43%
Net Income
-19.32M▲ 0%
-36.06M▼ 86.6%
-33.54M▲ 7.0%
-14.81M▲ 55.8%
-65.01M▼ 339.0%
-71.49M▼ 10.0%
3.68M▲ 105.1%
18.25M▲ 395.7%
20.98M▲ 15.0%
28.75M▲ 0%
Net Margin %
-37.08%-47.76%-31.32%-7.81%-21.84%-21.19%1.02%4.66%4.87%6.7%
Net Income Growth %
--86.61%6.99%55.84%-338.97%-9.96%105.15%395.68%15%57.48%
Net Income (Continuing)
-19.32M-36.06M-33.54M-14.81M-65.01M-71.49M3.68M18.25M20.98M28.75M
Discontinued Operations
0000000000
Minority Interest
0000000000
EPS (Diluted)
-0.75▲ 0%
-1.41▼ 88.0%
-1.64▼ 16.3%
-0.46▲ 72.0%
-1.81▼ 293.5%
-1.94▼ 7.2%
0.09▲ 104.8%
0.48▲ 410.6%
0.56▲ 16.7%
0.79▲ 0%
EPS Growth %
--88%-16.31%71.95%-293.48%-7.18%104.85%410.64%16.67%63.81%
EPS (Basic)
-0.75-1.41-1.64-0.46-1.81-1.940.100.490.58-
Diluted Shares Outstanding
25.64M25.64M20.5M32.32M35.96M36.86M39.15M37.84M37.17M36.6M
Basic Shares Outstanding
25.64M25.64M20.5M32.32M35.96M36.86M38.07M36.98M36.28M35.97M
Dividend Payout Ratio
----------

FVRR Balance Sheet

Fiverr International Ltd. (FVRR) balance sheet — assets, liabilities & shareholders' equity

MetricDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Total Current Assets
58.74M96.79M187.12M591.15M468.22M625.22M594.48M756.08M479.15M474.67M
Cash & Short-Term Investments
57.87M55.95M127.73M487.4M323.3M462.05M417.37M567.26M286.33M276.19M
Cash Only
27.87M55.95M24.17M268.03M71.15M86.75M183.67M133.47M128.62M139.25M
Short-Term Investments
30M0103.56M219.37M252.15M375.29M233.7M433.79M157.71M136.93M
Accounts Receivable
578K776K3.12M5.42M14.29M19.02M24.22M16.28M32.97M34.02M
Days Sales Outstanding
4.053.7510.6310.4417.5220.5824.4615.1827.9330.33
Inventory
0327K00000000
Days Inventory Outstanding
-7.64--------
Other Current Assets
298K39.74M56.27M98.33M130.63M144.16M152.89M172.54M159.85M164.47M
Total Non-Current Assets
11.03M14.24M49.24M270.05M463.35M298.58M429.13M313.89M203.96M220.55M
Property, Plant & Equipment
5.27M5.14M5.32M21.88M18.28M14.74M11.46M9.39M6.87M5.83M
Fixed Asset Turnover
9.89x14.68x20.12x8.66x16.28x22.89x31.55x41.68x62.70x63.21x
Goodwill
01.38M11.24M11.24M77.27M77.27M77.27M110.22M126.31M126.31M
Intangible Assets
1.72M4.07M7.19M5.88M49.22M14.77M10.72M41.88M36.55M33.52M
Long-Term Investments
3.7M3.19M21.8M228.05M317.52M189.84M328.33M122.01M045.65M
Other Non-Current Assets
4.04M3.65M3.69M3M1.05M1.97M1.35M7.87M7.79M5.66M
Total Assets
69.77M▲ 0%
111.03M▲ 59.1%
236.36M▲ 112.9%
861.2M▲ 264.4%
931.57M▲ 8.2%
923.8M▼ 0.8%
1.02B▲ 10.8%
1.07B▲ 4.5%
683.11M▼ 36.2%
695.22M▲ 0%
Asset Turnover
0.75x0.68x0.45x0.22x0.32x0.37x0.35x0.37x0.63x0.47x
Asset Growth %
-59.13%112.88%264.36%8.17%-0.83%10.8%4.53%-36.16%-49.54%
Total Current Liabilities
42.86M53.78M81.94M145.87M189.04M197.1M205.43M684.95M247.4M257.26M
Accounts Payable
2.61M3.36M3.75M3.62M8.7M8.63M5.49M5.53M9.08M9.93M
Days Payables Outstanding
71.2778.661.5739.8361.3947.7632.4228.6239.8634.97
Short-Term Debt
471K445K503K560K2.27M00457.86M3.37M2.75M
Deferred Revenue (Current)
7.59M9.63M3.25M5.96M12.14M11.35M11.05M20.09M18.57M79.2M
Other Current Liabilities
36.17M44.92M53.01M92.03M118.62M134.48M142.29M178.55M216.38M224.41M
Current Ratio
1.37x1.80x2.28x4.05x2.48x3.17x2.89x1.10x1.94x1.85x
Quick Ratio
1.37x1.79x2.28x4.05x2.48x3.17x2.89x1.10x1.94x1.85x
Cash Conversion Cycle
--67.21--------4.64
Total Non-Current Liabilities
3.81M3.28M5.61M369.93M395.66M460.97M462.4M22.38M23.72M17.26M
Long-Term Debt
3.46M2.79M2.54M354.18M372.08M452.76M455.31M0798K0
Capital Lease Obligations
00013.86M10.48M6.65M4.48M2.75M798K3.83M
Deferred Tax Liabilities
124K124K184K00474K1.8M9.35M00
Other Non-Current Liabilities
356K488K2.89M1.89M13.1M1.08M813K10.28M22.13M16.64M
Total Liabilities
46.67M57.06M87.55M515.8M584.7M658.07M667.83M707.32M271.12M274.52M
Total Debt
3.93M3.24M3.04M371.91M387.88M462.17M462.36M463.21M4.96M3.38M
Net Debt
-23.94M-52.72M-21.13M103.88M316.73M375.42M278.68M329.74M-123.66M-135.88M
Debt / Equity
0.17x0.06x0.02x1.08x1.12x1.74x1.30x1.28x0.01x0.01x
Debt / EBITDA
--------0.37x0.13x
Net Debt / EBITDA
---------9.15x-5.16x
Interest Coverage
----2.40x-2.22x-6.96x2.79x5.36x--
Total Equity
23.1M▲ 0%
53.97M▲ 133.7%
148.81M▲ 175.7%
345.4M▲ 132.1%
346.87M▲ 0.4%
265.73M▼ 23.4%
355.77M▲ 33.9%
362.65M▲ 1.9%
411.98M▲ 13.6%
420.7M▲ 0%
Equity Growth %
-133.66%175.71%132.11%0.42%-23.39%33.88%1.93%13.6%73.45%
Book Value per Share
0.902.107.2610.699.657.219.099.5811.0811.49
Total Shareholders' Equity
23.1M53.97M148.81M345.4M346.87M265.73M355.77M362.65M411.98M420.7M
Common Stock
110.63M000000727.18M786.2M797.34M
Retained Earnings
-87.53M-123.59M-157.76M-172.57M-237.59M-288.04M-284.36M-366.19M-377.74M-377.19M
Treasury Stock
0000000000
Accumulated OCI
0-598K238K532K-1.09M-12.06M-714K1.67M3.53M550K
Minority Interest
0000000000

FVRR Cash Flow Statement

Fiverr International Ltd. (FVRR) cash flow — operating, investing & free cash flow history

MetricDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Cash from Operations
-5.26M-51.68M-13.94M17.14M38.04M30.11M83.19M83.07M104.59M103.8M
Operating CF Margin %
-10.1%-68.44%-13.02%9.04%12.78%8.93%23.02%21.22%24.27%-
Operating CF Growth %
--881.87%73.02%222.88%121.98%-20.84%176.26%-0.14%25.91%180.74%
Net Income
-19.32M-36.06M-33.54M-14.81M-65.01M-71.49M3.68M18.25M20.98M28.75M
Depreciation & Amortization
1.09M2.25M3.57M4.34M6.88M10.19M5.99M10.48M14.69M13.82M
Stock-Based Compensation
1.4M11.65M8.9M15.81M55.41M71.75M68.7M73.94M00
Deferred Taxes
00008.13M00000
Other Non-Cash Items
-225K-51K-923K2.09M19.52M23.79M2.09M1.23M69.21M65M
Working Capital Changes
11.79M-29.46M8.05M9.7M13.11M-4.13M2.73M-20.83M-298K-3.78M
Change in Receivables
11K-143K-1.58M-1.78M-6.24M-4.85M-2.88M-18.32M7.26M6.62M
Change in Inventory
001.58M06.24M4.85M0000
Change in Payables
-145K808K240K10.36M18.12M3.88M-3.19M-409K2.59M2.25M
Cash from Investing
5.08M26.07M-136.08M-326.36M-229.47M-14.62M9.78M-28.82M378.61M375.3M
Capital Expenditures
-3.4M-1.6M-1.75M-2.09M-2.58M-2.37M-1.05M-2.51M-1.31M-598.29K
CapEx % of Revenue
6.52%2.12%1.64%1.1%0.87%0.7%0.29%0.64%0.3%0.14%
Acquisitions
0-2.68M-9.97M0-97.08M00-39.74M-20.15M-21.37M
Investments
----------
Other Investing
-1.52M-490K-40K-76.28M-41.12M-1.25M46.8M-300K750K1.7M
Cash from Financing
1.25M53.89M117.99M551.81M-2.4M-1.64M2.85M-104.22M-491.8M-531.13M
Debt Issued (Net)
857K-421K-470K446.74M-599K-2.27M0-3.99M-460M-487.88M
Equity Issued (Net)
053.07M117.69M129.85M8.29M3.77M2.77M-96.73M-29.16M-38.44M
Dividends Paid
0000000000
Share Repurchases
0000000-100.08M-32.53M-42.52M
Other Financing
396K1.24M773K-24.78M-10.09M-3.13M87K-3.5M-2.64M-4.81M
Net Change in Cash
1.7M▲ 0%
28.09M▲ 1552.3%
-31.78M▼ 213.2%
243.86M▲ 867.2%
-193.96M▼ 179.5%
13.82M▲ 107.1%
95.78M▲ 593.1%
-50.2M▼ 152.4%
-6.16M▲ 87.7%
-49.17M▲ 0%
Free Cash Flow
-8.66M▲ 0%
-53.27M▼ 515.2%
-15.7M▲ 70.5%
13.1M▲ 183.4%
35.46M▲ 170.7%
27.74M▼ 21.8%
82.07M▲ 195.9%
81.77M▼ 0.4%
103.94M▲ 27.1%
103.24M▲ 0%
FCF Margin %
-16.62%-70.56%-14.66%6.91%11.91%8.22%22.71%20.89%24.12%24.05%
FCF Growth %
--515.16%70.53%183.44%170.68%-21.77%195.88%-0.38%27.12%18.97%
FCF per Share
-0.34-2.08-0.770.410.990.752.102.162.802.82
FCF Conversion (FCF/Net Income)
0.27x1.43x0.42x-1.16x-0.59x-0.42x22.60x4.55x4.98x3.59x
Interest Paid
158K148K131K115K107K246K145K118K00
Taxes Paid
309K146K36K078K235K589K5.73M00

FVRR Key Ratios

Fiverr International Ltd. (FVRR) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric20182019202020212022202320242025TTM
Return on Equity (ROE)
-93.58%-33.08%-5.99%-18.78%-23.34%1.18%5.08%5.42%7.03%
Return on Invested Capital (ROIC)
-13181.57%-40.43%-3.07%-6.11%-8.57%-1.78%-1.79%-0.18%2.63%
Gross Margin
79.31%79.24%82.49%82.62%80.45%82.89%81.97%80.7%81.27%
Net Margin
-47.76%-31.32%-7.81%-21.84%-21.19%1.02%4.66%4.87%6.7%
Debt / Equity
0.06x0.02x1.08x1.12x1.74x1.30x1.28x0.01x0.01x
Interest Coverage
---2.40x-2.22x-6.96x2.79x5.36x--
FCF Conversion
1.43x0.42x-1.16x-0.59x-0.42x22.60x4.55x4.98x3.59x
Revenue Growth
44.89%41.81%76.99%57.07%13.34%7.12%8.33%10.07%5.94%
Related:FVRR Dividend History·FVRR Revenue History·FVRR Price History·FVRR P/E History·FVRR Financial Ratios·FVRR Institutional Holders

FVRR Frequently Asked Questions

Fiverr International Ltd. (FVRR) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Fiverr International Ltd. (FVRR) reported $429.2M in revenue for fiscal year 2025. This represents a 724% increase from $52.1M in 2017.

Fiverr International Ltd. (FVRR) grew revenue by 10.1% over the past year. This is steady growth.

Yes, Fiverr International Ltd. (FVRR) is profitable, generating $28.7M in net income for fiscal year 2025 (4.9% net margin).

Dividend & Returns

Fiverr International Ltd. (FVRR) has a return on equity (ROE) of 5.4%. This is below average, suggesting room for improvement.

Fiverr International Ltd. (FVRR) generated $103.2M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

What if you invested $1,000 in FVRR back in 2017?

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