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BrightSpire Capital BRSP Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$3.12M+120%-$16M-1,127%-$1.3M+94.8%-$25.17M-779%$3.71M+118%
$8.63M+8.0%$7.99M+11.2%$7.19M-32.2%$10.61M+0.5%$10.55M-4.7%
$2.92M+0.1%$2.92M+4.4%$2.79M-4.1%$2.91M-30.9%$4.21M+44.9%
$10.93M-28.2%$15.23M-49.0%$29.87M+71.4%$17.43M+65.9%$10.5M-57.5%
$1.63M-77.1%$7.11M+190%$2.45M-58.3%$5.88M+134%$2.51M+199%
-$89.51M+73.0%-$331.86M-1,568%-$19.9M+75.7%-$81.78M-701%$13.61M-82.4%
$21.91M+6.4%$20.59M-1.3%$20.86M+0.3%$20.8M+0.3%$20.75M-0.2%
$594.43M+54.1%$385.68M+241%$113.06M+68.7%$67M+36.1%$49.22M+122,960%
$900.2M+944%$86.26M-30.5%$124.12M+1,053%$10.77M-89.3%$100.91M+59.3%
$94.02M-64.9%$267.61M+768%-$40.09M-262%$24.81M+114%-$183.41M-103%
$15.44M+132%-$47.73M-58.5%-$30.12M+24.9%-$40.13M+74.7%-$158.89M-1,476%
$9.3M+14.5%$8.12M-70.4%$27.43M+137%$11.55M+44.6%$7.99M-66.5%

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Questions, answered.

How much cash does BrightSpire Capital generate?
BrightSpire Capital (BRSP) generated $73.5M in operating cash flow over the trailing twelve months.
What is BrightSpire Capital's free cash flow?
After $17.1M of capital expenditures, BrightSpire Capital's free cash flow was $56.4M over the trailing twelve months, down 32.1% year over year.
Where does BrightSpire Capital's cash flow data come from?
Every line is extracted from BrightSpire Capital's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.