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SKLZ logoSkillz Inc.(SKLZ)Earnings, Financials & Key Ratios

SKLZ•NYSE
$6.35
$99M mkt cap·Price updated May 6, 2026
SectorTechnologyIndustryGaming & MultimediaSub-IndustryGaming Platforms and UGC Ecosystems
AboutSkillz Inc. operates a mobile games platform that connects players in fair, fun, and meaningful competition. The company primarily develops and supports a proprietary online-hosted technology platform that enables independent game developers to host tournaments and provide competitive gaming activity to end-users worldwide. It also hosts casual esports tournaments to a range of mobile players. The company distributes games through direct app download from its website, as well as through third-party platforms. Skillz Inc. was founded in 2012 and is headquartered in San Francisco, California.Show more
  • Revenue$104M+9.5%
  • EBITDA-$70M-49.7%
  • Net Income-$70M-46.0%
  • EPS (Diluted)-4.51-67.0%
  • Gross Margin87.51%+1.8%
  • EBITDA Margin-67.02%-36.8%
  • Operating Margin-68.35%-34.9%
  • Net Margin-67.38%-33.4%
  • ROE-49.69%-96.8%
  • ROIC-148.31%-45.9%
  • Debt/Equity1.15+44.7%
  • Interest Coverage-3.61+42.2%
Technical→

SKLZ Key Insights

Skillz Inc. (SKLZ) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Momentum leader: RS Rating 92 (top 8%)
  • ✓Share count reduced 12.6% through buybacks
  • ✓Trading at only 0.9x book value

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Sales declining 14.5% over 5 years
  • ✗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.

SKLZ Price & Volume

Skillz Inc. (SKLZ) stock price & volume — 10-year historical chart

Loading chart...

SKLZ Growth Metrics

Skillz Inc. (SKLZ) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years-
5 Years-14.53%
3 Years-27.1%
TTM12.52%

Profit CAGR

10 Years-
5 Years-
3 Years-
TTM-50.48%

EPS CAGR

10 Years-
5 Years-
3 Years-
TTM-66.42%

Return on Capital

10 Years-66.65%
5 Years-36.2%
3 Years-24.58%
Last Year-34.04%

SKLZ Recent Earnings

Skillz Inc. (SKLZ) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 5/12 qtrs (42%)●Beat Revenue 4/12 qtrs (33%)
Q2 2026Latest
Mar 31, 2026
EPS
$1.07
Est $1.03
-3.5%
Revenue
$30M
Est $26M
+15.4%
Q4 2025
Nov 6, 2025
EPS
$1.14
Est $1.28
+10.9%
Revenue
$27M
Est $26M
+5.3%
Q3 2025
Aug 7, 2025
EPS
$1.12
Est $1.34
+16.4%
Revenue
$27M
Est $23M
+20.1%
Q2 2025
May 8, 2025
EPS
$0.92
Est $1.09
+15.6%
Revenue
$22M
Est $21M
+8.0%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q2 2026LatestMar 31, 2026
$1.07vs $1.03-3.5%
$30Mvs $26M+15.4%
Q4 2025Nov 6, 2025
$1.14vs $1.28+10.9%
$27Mvs $26M+5.3%
Q3 2025Aug 7, 2025
$1.12vs $1.34+16.4%
$27Mvs $23M+20.1%
Q2 2025May 8, 2025
$0.92vs $1.09+15.6%
$22Mvs $21M+8.0%
Based on last 12 quarters of dataView full earnings history →

SKLZ Peer Comparison

Skillz Inc. (SKLZ) competitors in Gaming Platforms and UGC Ecosystems — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
HUYA logoHUYAHUYA Inc.Direct Competitor493.27M3.28-106.48-13.09%-2.51%-2.41%0.01
DOYU logoDOYUDouYu International Holdings LimitedDirect Competitor146.82M4.87-3.44-22.78%-4.81%-6.48%0.00
GFAI logoGFAIGuardforce AI Co., LimitedDirect Competitor10.88M0.50-0.940.18%-32.94%-69.69%0.08
DKNG logoDKNGDraftKings Inc.Product Competitor11.86B23.92-2953.0926.99%0.06%0.46%3.06
PENN logoPENNPENN Entertainment, Inc.Product Competitor2.24B16.75-2.875.82%-12.11%-34.66%4.58
RSI logoRSIRush Street Interactive, Inc.Product Competitor2.98B27.8619922.76%2.98%12.91%0.06
GENI logoGENIGenius Sports LimitedProduct Competitor1.08B4.40-1031.04%-16.67%-15.51%0.04
SGHC logoSGHCSuper Group (SGHC) LimitedProduct Competitor6.54B12.9350.0818.16%10.01%26.93%0.13

Compare SKLZ vs Peers

Skillz Inc. (SKLZ) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs HUYA

Most directly comparable listed peer for SKLZ.

Scale Benchmark

vs GOOGL

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

Peer Set

Compare Top 5

vs HUYA, DOYU, GFAI, DKNG

SKLZ Income Statement

Skillz Inc. (SKLZ) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Sales/Revenue50.78M119.87M229.05M380.15M269.71M152.08M95.47M104.5M
Revenue Growth %-136.07%91.08%65.97%-29.05%-43.61%-37.23%9.46%
Cost of Goods Sold2.11M5.71M12.28M25.24M30.72M15.38M13.4M13.05M
COGS % of Revenue4.16%4.77%5.36%6.64%11.39%10.11%14.04%12.49%
Gross Profit
48.67M▲ 0%
114.16M▲ 134.6%
216.77M▲ 89.9%
354.91M▲ 63.7%
238.99M▼ 32.7%
136.7M▼ 42.8%
82.06M▼ 40.0%
91.45M▲ 11.4%
Gross Margin %95.84%95.23%94.64%93.36%88.61%89.89%85.96%87.51%
Gross Profit Growth %-134.58%89.88%63.73%-32.66%-42.8%-39.97%11.44%
Operating Expenses74.21M138.99M319.96M648.73M660.35M250.99M130.41M162.86M
OpEx % of Revenue146.15%115.95%139.69%170.65%244.84%165.04%136.61%155.86%
Selling, General & Admin66.66M127.75M296.73M602.49M440.03M219.51M159.22M142.24M
SG&A % of Revenue131.29%106.57%129.55%158.49%163.15%144.34%166.78%136.12%
Research & Development7.55M11.24M23.23M46.23M52.27M28.15M17.2M20.62M
R&D % of Revenue14.86%9.38%10.14%12.16%19.38%18.51%18.01%19.73%
Other Operating Expenses-45K000168.05M3.33M-46M0
Operating Income
-25.55M▲ 0%
-24.83M▲ 2.8%
-103.19M▼ 315.6%
-293.81M▼ 184.7%
-421.36M▼ 43.4%
-114.29M▲ 72.9%
-48.35M▲ 57.7%
-71.42M▼ 47.7%
Operating Margin %-50.31%-20.71%-45.05%-77.29%-156.23%-75.15%-50.65%-68.35%
Operating Income Growth %-2.81%-315.62%-184.73%-43.41%72.88%57.69%-47.7%
EBITDA-25.14M-24.12M-101.58M-282.15M-403.49M-112.33M-46.78M-70.04M
EBITDA Margin %-49.51%-20.12%-44.35%-74.22%-149.6%-73.86%-49.01%-67.02%
EBITDA Growth %-4.07%-321.2%-177.76%-43%72.16%58.35%-49.7%
D&A (Non-Cash Add-back)404K711K1.61M11.66M17.87M1.96M1.57M1.38M
EBIT-25.59M-21.11M-147.64M-205.84M-412.68M-98.27M-94.35M-55.05M
Net Interest Income-2.19M-2.5M-1.32M-1.22M-26.55M-2.85M298K-5.82M
Interest Income00000015.41M9.43M
Interest Expense2.19M2.5M1.32M1.22M26.55M2.85M15.11M15.24M
Other Income/Expense-2.23M1.22M-45.77M86.75M-17.86M13.17M183K1.12M
Pretax Income
-27.78M▲ 0%
-23.61M▲ 15.0%
-148.96M▼ 531.1%
-207.06M▼ 39.0%
-439.22M▼ 112.1%
-101.12M▲ 77.0%
-48.17M▲ 52.4%
-70.3M▼ 45.9%
Pretax Margin %-54.71%-19.69%-65.04%-54.47%-162.85%-66.49%-50.46%-67.28%
Income Tax-45K0115K-19.14M-345K239K61K108K
Effective Tax Rate %0.16%0%-0.08%9.24%0.08%-0.24%-0.13%-0.15%
Net Income
-27.78M▲ 0%
-23.61M▲ 15.0%
-149.08M▼ 531.6%
-187.93M▼ 26.1%
-438.88M▼ 133.5%
-101.36M▲ 76.9%
-48.23M▲ 52.4%
-70.41M▼ 46.0%
Net Margin %-54.71%-19.69%-65.09%-49.43%-162.72%-66.65%-50.52%-67.38%
Net Income Growth %-15.03%-531.56%-26.06%-133.54%76.9%52.42%-45.98%
Net Income (Continuing)-27.78M-23.61M-149.08M-187.93M-438.88M-101.36M-48.23M-70.41M
Discontinued Operations00000000
Minority Interest00000000
EPS (Diluted)
-4.18▲ 0%
-2.06▲ 50.7%
-7.87▼ 282.0%
-9.34▼ 18.7%
-21.41▼ 129.2%
-4.85▲ 77.3%
-2.70▲ 44.3%
-4.51▼ 67.0%
EPS Growth %-50.72%-282.04%-18.68%-129.23%77.35%44.33%-67.04%
EPS (Basic)-4.18-2.06-7.87-9.77-21.41-4.85-2.70-4.51
Diluted Shares Outstanding6.65M14.45M18.49M19.43M20.5M20.89M17.85M15.61M
Basic Shares Outstanding6.65M14.45M18.49M19.23M20.5M20.89M17.85M15.61M
Dividend Payout Ratio--------

SKLZ Balance Sheet

Skillz Inc. (SKLZ) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Total Current Assets24.78M35.09M273.22M589.86M501.68M314.69M294.4M216.48M
Cash & Short-Term Investments22.54M25.63M262.73M560.39M489.78M302.03M281.92M194.51M
Cash Only22.54M25.63M262.73M241.33M362.52M302.03M281.92M194.51M
Short-Term Investments000319.06M127.27M000
Accounts Receivable00012.77M7.18M5.94M4.89M14.41M
Days Sales Outstanding---12.269.7114.2618.750.34
Inventory00000000
Days Inventory Outstanding--------
Other Current Assets1.79M7M865K1.5M1.49M1.36M7.59M7.55M
Total Non-Current Assets1.25M3.76M9.2M431.26M119.61M81.14M69.77M76.98M
Property, Plant & Equipment1.17M3.65M5.29M24.5M3.46M14.55M16.25M21.86M
Fixed Asset Turnover43.29x32.86x43.28x15.52x77.88x10.45x5.88x4.78x
Goodwill00085.87M0000
Intangible Assets00079.14M0000
Long-Term Investments000238.28M112.38M53.89M52.77M52.77M
Other Non-Current Assets79K116K3.91M3.48M3.77M12.69M755K2.35M
Total Assets
26.03M▲ 0%
38.86M▲ 49.3%
282.42M▲ 626.8%
1.02B▲ 261.6%
621.29M▼ 39.2%
395.83M▼ 36.3%
364.17M▼ 8.0%
293.45M▼ 19.4%
Asset Turnover1.95x3.09x0.81x0.37x0.43x0.38x0.26x0.36x
Asset Growth %-49.28%626.84%261.56%-39.16%-36.29%-8%-19.42%
Total Current Liabilities10.21M10.48M47.36M99.82M49.49M49.86M57.25M180.71M
Accounts Payable3M2.94M22.04M19.75M1.7M1.71M9.8M9.71M
Days Payables Outstanding518.12188.09655.01285.6220.1540.63266.76271.67
Short-Term Debt875K000001.54M128.05M
Deferred Revenue (Current)00000000
Other Current Liabilities4.28M1.96M6.61M24.39M13.97M9.56M45.91M30.31M
Current Ratio2.43x3.35x5.77x5.91x10.14x6.31x5.14x1.20x
Quick Ratio2.43x3.35x5.77x5.91x10.14x6.31x5.14x1.20x
Cash Conversion Cycle--------
Total Non-Current Liabilities14.74M9.71M178.28M312.15M293.4M135.48M135.32M924K
Long-Term Debt14.74M9.63M0278.89M272.78M123.94M125.65M665K
Capital Lease Obligations00013.57M11.94M10.57M9.34M0
Deferred Tax Liabilities00000000
Other Non-Current Liabilities082K178.28M19.69M8.68M971K333K259K
Total Liabilities24.95M20.19M225.63M411.96M342.89M185.34M192.58M181.63M
Total Debt15.62M9.63M0297.01M288.38M136.7M136.54M128.72M
Net Debt-6.92M-16M-262.73M55.68M-74.14M-165.32M-145.39M-65.79M
Debt / Equity14.51x0.52x-0.49x1.04x0.65x0.80x1.15x
Debt / EBITDA--------
Net Debt / EBITDA--------
Interest Coverage-11.68x-8.45x-111.43x-168.45x-15.55x-34.46x-6.25x-3.61x
Total Equity
1.08M▲ 0%
18.66M▲ 1634.7%
56.79M▲ 204.2%
609.16M▲ 972.7%
278.4M▼ 54.3%
210.49M▼ 24.4%
171.59M▼ 18.5%
111.82M▼ 34.8%
Equity Growth %-1634.67%204.24%972.71%-54.3%-24.39%-18.48%-34.83%
Book Value per Share0.161.293.0731.3613.5810.079.627.17
Total Shareholders' Equity1.08M18.66M56.79M609.16M278.4M210.49M171.59M111.82M
Common Stock1K29K37K40K1K1K1K1K
Retained Earnings-78.54M-90.26M-238.31M-434.23M-873.11M-974.47M-1.02B-1.09B
Treasury Stock00000-13M-32.35M-41.61M
Accumulated OCI000-248K-1.56M-7K0-371K
Minority Interest00000000

SKLZ Cash Flow Statement

Skillz Inc. (SKLZ) cash flow — operating, investing & free cash flow history

Line itemDec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Cash from Operations-16.95M-21.94M-56.23M-180.15M-179.6M-71.76M-7.07M-68.93M
Operating CF Margin %-33.38%-18.3%-24.55%-47.39%-66.59%-47.18%-7.41%-65.96%
Operating CF Growth %--29.44%-156.33%-220.38%0.31%60.05%90.14%-874.37%
Net Income-27.78M-23.61M-149.08M-187.93M-438.88M-101.36M-46.79M-70.41M
Depreciation & Amortization404K711K1.61M11.66M17.87M1.96M1.67M1.38M
Stock-Based Compensation6.68M1.24M23.76M60.33M108.2M43.69M30.02M19.58M
Deferred Taxes45K00-19.38M-698K000
Other Non-Cash Items1.29M-1.51M48.64M-87.14M166.33M-9.03M1.93M2.23M
Working Capital Changes2.42M1.23M18.84M42.29M-32.43M-7.03M6.11M-21.7M
Change in Receivables000931K5.59M1.24M831K-9.51M
Change in Inventory00000000
Change in Payables1.85M-54K10.73M6.26M-17.22M16K7.02M411K
Cash from Investing-867K-3.22M-3.25M-643.92M311.39M168.3M-1.63M-6.14M
Capital Expenditures-867K-3.22M-3.25M-3.24M-1.89M-13.24M-2.76M-1.4M
CapEx % of Revenue1.71%2.69%1.42%0.85%0.7%8.7%2.89%1.34%
Acquisitions000-83.99M0000
Investments--------
Other Investing00000-2M0-4.73M
Cash from Financing33.33M31.17M296.58M802.68M-10.61M-149.95M-21.29M-10.97M
Debt Issued (Net)14.92M6.06M-10M279.31M-2.61M-1.1M-502K-462K
Equity Issued (Net)18.22M24.91M74.07M402.14M1.31M-13M-19.35M-10.51M
Dividends Paid00000000
Share Repurchases00-1.34M00-13M-19.35M-9.26M
Other Financing192K197K232.51M121.23M-9.3M-135.85M-1.44M0
Net Change in Cash
15.52M▲ 0%
6.01M▼ 61.3%
237.1M▲ 3846.4%
-21.4M▼ 109.0%
121.18M▲ 666.4%
-53.41M▼ 144.1%
-30.11M▲ 43.6%
-86.41M▼ 187.0%
Free Cash Flow
-17.82M▲ 0%
-25.16M▼ 41.2%
-59.48M▼ 136.4%
-183.39M▼ 208.3%
-181.49M▲ 1.0%
-84.99M▲ 53.2%
-9.58M▲ 88.7%
-70.33M▼ 633.9%
FCF Margin %-35.08%-20.99%-25.97%-48.24%-67.29%-55.89%-10.04%-67.3%
FCF Growth %--41.23%-136.4%-208.33%1.04%53.17%88.73%-633.9%
FCF per Share-2.68-1.74-3.22-9.44-8.85-4.07-0.54-4.51
FCF Conversion (FCF/Net Income)0.61x0.93x0.38x0.96x0.41x0.71x0.15x0.98x
Interest Paid0269K815K180K30.33M18.33M13.39M13.29M
Taxes Paid00000400K183K151K

SKLZ Key Ratios

Skillz Inc. (SKLZ) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric20182019202020212022202320242025
Return on Equity (ROE)-2581.78%-239.15%-395.16%-56.44%-98.89%-41.47%-25.25%-49.69%
Return on Invested Capital (ROIC)----96.04%-72.72%-68.73%-101.62%-148.31%
Gross Margin95.84%95.23%94.64%93.36%88.61%89.89%85.96%87.51%
Net Margin-54.71%-19.69%-65.09%-49.43%-162.72%-66.65%-50.52%-67.38%
Debt / Equity14.51x0.52x-0.49x1.04x0.65x0.80x1.15x
Interest Coverage-11.68x-8.45x-111.43x-168.45x-15.55x-34.46x-6.25x-3.61x
FCF Conversion0.61x0.93x0.38x0.96x0.41x0.71x0.15x0.98x
Revenue Growth-136.07%91.08%65.97%-29.05%-43.61%-37.23%9.46%

SKLZ SEC Filings & Documents

Skillz Inc. (SKLZ) SEC filings — annual & quarterly reports (10-K, 10-Q)

8-K Announcements

6
Material company update

May 1, 2026·SEC

Material company update

Apr 14, 2026·SEC

Material company update

Mar 31, 2026·SEC

10-K Annual Reports

3
FY 2026

Mar 31, 2026·SEC

FY 2025

Nov 6, 2025·SEC

FY 2024

Aug 29, 2024·SEC

10-Q Quarterly Reports

6
FY 2025

Dec 11, 2025·SEC

FY 2025

Dec 11, 2025·SEC

FY 2025

Dec 11, 2025·SEC

SKLZ Frequently Asked Questions

Skillz Inc. (SKLZ) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Skillz Inc. (SKLZ) reported $104.5M in revenue for fiscal year 2025. This represents a 106% increase from $50.8M in 2018.

Skillz Inc. (SKLZ) grew revenue by 9.5% over the past year. This is steady growth.

Skillz Inc. (SKLZ) reported a net loss of $70.4M for fiscal year 2025.

Dividend & Returns

Skillz Inc. (SKLZ) has a return on equity (ROE) of -49.7%. Negative ROE indicates the company is unprofitable.

Skillz Inc. (SKLZ) had negative free cash flow of $70.3M in fiscal year 2025, likely due to heavy capital investments.

Explore More SKLZ

Skillz Inc. (SKLZ) financial analysis — history, returns, DCA and operating performance tools

Total Return Calculator

Historical returns with dividends reinvested

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DCA Calculator

Dollar cost averaging vs lump sum

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Dividend History

Yield, growth, payout safety & DRIP

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Earnings History

EPS trends, net income & profitability

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Price History

Long-term charts & historical price data

→

Revenue History

Sales growth patterns & revenue breakdown

→

Financial Ratios

30 years of market, efficiency and balance-sheet ratios

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Valuation

DCF intrinsic value, peer multiples & estimates

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