Skip to content

Certara, Inc. CERT Cash Flow Statement

FY'25FY'24FY'23FY'22
-$1.6M-$55.36M-461%$15.32M+215%
$75.16M+10.5%$68.03M+21.3%$56.07M+3,139%$1.73M-18.9%
-$8.32M+38.3%-$13.48M
$568K-45.1%$1.04M-32.2%$1.53M-0.8%$1.54M+0.6%
$1.14M$684K-36.2%$1.07M+725%
$16.23M$15.01M+49.1%
$902K-71.3%$3.15M
$13.83M+49,307%$28K-99.7%$9.53M+75.3%
$8.09M-66.4%$24.12M
$96.33M+19.7%$80.47M-2.8%$82.76M-10.6%$92.54M+53.2%
$1.82M+12.2%$1.63M-8.6%$1.78M+24.3%$1.43M+25.1%
-$26.56M+76.4%-$112.37M-41.3%-$79.55M-186%-$27.84M+89.7%
$42.61M$0
$2.99M+32.6%$2.26M-25.9%$3.05M-8.1%$3.31M-16.6%
$0$0-100%
$5.16M-40.7%$8.69M+35.7%$6.4M+116%$2.96M
$0$0
-$63.99M-205%-$21.01M-122%-$9.45M-28.3%-$7.36M-106%
-$2.86M-290%$1.51M
$10.21M-$4.74M-109%$53.06M+161%
$19.13M-21.1%$24.25M+27.0%$19.09M+10.5%$17.27M+21.9%
$12.22M-16.6%$14.66M-24.1%$19.32M+90.5%$10.14M+18.0%
$568K-45.1%$1.04M-32.2%$1.53M-0.8%$1.54M+0.6%
$8.09M-66.4%$24.12M
$13.83M+49,307%$28K-99.7%$9.53M+75.3%
$902K-71.3%$3.15M
$1.85M$169K
$1.14M$684K-36.2%$1.07M+725%
$24.8M+27.7%$19.42M+43.9%$13.49M+21.6%$11.1M+43.0%
$2.99M+32.6%$2.26M$3.31M
$33.08M-4.9%$34.77M+22.9%$28.3M-6.7%$30.35M+2.9%
$0$0
$0$0
$12.22M-16.6%$14.66M-24.1%$19.32M+90.5%$10.14M+18.0%
$94.57M+19.9%$78.84M-2.6%$80.98M-11.1%$91.11M+53.8%
$94.57M+19.9%$78.84M-2.6%$80.98M-11.1%$91.11M+53.8%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does Certara, Inc. generate?
Certara, Inc. (CERT) generated $90.7M in operating cash flow over the trailing twelve months.
What is Certara, Inc.'s free cash flow?
After $1.9M of capital expenditures, Certara, Inc.'s free cash flow was $88.9M over the trailing twelve months, down 3.3% year over year.
Where does Certara, Inc.'s cash flow data come from?
Every line is extracted from Certara, 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.