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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$17.09M-$9.38M
$10.81M+37.7%$9.5M+19.5%$7.28M-24.8%$7.92M-19.1%$7.85M-19.4%
$50.18K-82.5%$76.8K-79.6%$173.65K-67.4%$217.77K-64.0%$287.13K-78.5%
-$139.58K-134%-$210.18K-159%$457.48K-39.6%$1.16M+392%$411.8K-60.4%
$71.22M+750%$35.72M+667%$16.99M+282%$10.13M+262%-$10.96M+36.7%
$102.72M$63.66M
$27.3M+38.1%$11.06M-53.4%$25.16M$23.97M$19.77M
$4.68M+1,477%$10.39M+471%
$1.88M+79.0%$1.88M+48.7%$1.78M+99.8%$879.82K+13.4%$1.05M+55.1%
-$29.59K-106%$82.12K-82.5%$198.1K-56.1%$236.73K-49.2%$468.49K-0.1%
$82.14K+308%
$1.03M-14.7%$1.07M-11.8%$1.08M-7.0%$1.11M+15.3%$1.21M+50.2%
$176.88K+106%$197.1K+108%-$1.96M-222%-$2.6M-2,239%-$2.92M-436%
$80.46M+255%$48.55M+22.3%$28.37M-49.2%$33.46M-18.5%$22.64M-49.1%
$43.75M+99.1%$44.65M+160%$36.62M+107%$31.17M+56.5%$21.98M-30.9%
$17M+28.6%$15.8M+21.5%$14.3M+9.0%$13.88M+13.2%$13.22M+7.6%
-$47.6M-132%-$45.71M-95.1%-$32.37M+3.9%-$27.09M+31.7%-$20.5M+57.2%
$50.09M+0.3%$51.18M+10.3%$51.37M+25.7%$42.6M-3.4%$49.93M+13.5%
$645.85K-69.6%$116.86K-95.8%$851.16K-59.3%$1.54M+3.7%$2.13M+72.6%
$4.81M+380%$4.05M+242%-$492.53K-$354.43K-$1.71M
$51.06M+353%$14.89M+659%$15.48M+612%$1.32M+106%$11.28M+264%
$968.84K+140%$871.63K+114%$683.64K+57.1%$536.39K+38.1%$403.69K
$340.82K+7.9%$331.19K+4.5%$325K$320.47K$315.72K
$203.49K-56.6%$315.19K-33.0%$431.17K-4.5%$469.8K+0.9%$468.49K-0.1%
$10.83M+48.9%$9.42M+21.6%$8.14M-15.2%$7.76M-19.7%$7.27M-30.2%
-$1.24M-$440.05K
$145.1K+873%$33.8K-92.7%$33.61K-96.4%$55.17K-96.1%
$102.72M$63.66M
-$10.57K+96.7%-$15.05K+95.3%-$32.04K+98.1%
$27.3M+38.1%$11.06M-53.4%$25.16M+5,263%$23.97M+1,324%$19.77M+949%
$176.88K+106%$197.1K+108%-$1.96M-222%-$2.6M-2,239%-$2.92M-436%
$4.68M+1,477%$10.39M+471%
$8.27M+55.3%$6.61M+34.1%$5.31M+9.6%$5.51M+38.7%$5.32M+70.9%
$1.03M-14.7%$1.07M-11.8%$1.08M-7.0%$1.11M+15.3%$1.21M+50.2%
$1.88M+79.0%$1.88M+48.7%$1.78M+99.8%$879.82K+13.4%$1.05M-7.7%
-$139.58K-134%-$210.18K-159%$457.48K-39.6%$1.16M+392%$411.8K-60.4%
-$102.97K-$210.18K
$645.85K-69.6%$116.86K-95.8%$851.16K-59.3%$1.54M+3.7%$2.13M+72.6%
$50.09M+0.3%$51.18M+10.3%$51.37M+25.7%$42.6M-3.4%$49.93M+13.5%
$350.15K-79.5%$689.14K-59.2%$1.03M-38.6%$1.37M-17.5%
$215.21M+72.3%$176.77M+31.1%$144.31M-7.7%$125.93M-25.8%$124.94M-27.9%
$10.69M+99.3%$11.02M+153%$10.46M
-$5.78M-$2.36M
$9.2K-84.5%$1.71K-97.8%$20.11K-67.4%$39.93K-14.2%$59.52K+89.0%
$196.82K
$2.83M$728.42K
$16.9M+23.7%$16.2M+16.1%$14.97M+3.3%$13.88M-7.2%$13.66M-11.3%
$14.66M-47.3%$18.42M-55.9%$17.45M-65.9%$19.53M-65.4%$27.8M-41.6%
-$18.04M-$11.14M
$854.4K
$1.13M+11.8%$1.12M+11.2%$1.09M$1.06M$1.01M
$1.65$1.51
-$776.99K+67.8%-$1.57M+28.6%-$2.14M+62.9%-$2.28M+59.7%-$2.41M+56.4%
-$43.6M-$61.28M
$17.15M
$229.87M+50.5%$195.19M+10.5%$161.76M-22.0%$145.46M-35.7%$152.73M-30.8%
$6.18M+41.4%$5.08M-2.3%$4.26M-31.4%$3.95M-37.4%$4.37M-26.0%
$661.1K-94.8%

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Questions, answered.

How much cash does CBAK Energy Technology, Inc. generate?
CBAK Energy Technology, Inc. (CBAT) generated $80.5M in operating cash flow over the trailing twelve months.
What is CBAK Energy Technology, Inc.'s free cash flow?
After $43.7M of capital expenditures, CBAK Energy Technology, Inc.'s free cash flow was $8.2M over the trailing twelve months, down 78.6% year over year.
Where does CBAK Energy Technology, Inc.'s cash flow data come from?
Every line is extracted from CBAK Energy Technology, Inc.'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.