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Ceva CEVA Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$11.77M-10.6%-$10.64M+5.7%-$11.28M-11.9%-$10.08M-51.2%-$6.67M+24.1%
$3.47M+1.0%$3.44M+1.5%$3.39M+7.5%$3.15M+5.1%$3M-1.6%
$20.85M+5.3%$19.8M+10.0%$17.99M+3.8%$17.33M+6.1%$16.33M+4.8%
$0$0$0$0
$8.38M-31.5%$12.22M
$667K+356%
$20K-99.3%$2.8M+4.9%
$475K-18.2%
$11.78M+15.2%$10.23M
$4.93M+68.6%$2.92M+18.9%$2.46M+0.5%$2.45M+3.5%$2.36M-20.1%
$101.92M-4.2%$106.44M+92.1%$55.4M+16.3%$47.65M-24.8%$63.33M+35.1%
$40.68M+315%
-$56.04M-64.8%-$34M-357%$13.22M+30.2%$10.16M+873%-$1.31M+46.3%
$3.42M+6.0%$3.22M
$59.53M+0.3%$59.34M+1,305%-$4.93M+41.2%-$8.38M-86.7%-$4.49M+19.4%
$387K+1,238%-$34K+86.6%
$2.55M-88.4%$22.09M
$7.99M+12.7%$7.09M+13.3%
$801K-3.8%$833K-5.3%$880K-7.5%$951K-6.8%$1.02M-6.4%
$3.47M+1.0%$3.44M+1.5%$3.39M+7.5%$3.15M+5.1%$3M-1.6%
$0$0$0$0
$667K+356%
$11.78M+15.2%$10.23M
-$1.01M-399%$337K-29.4%
$39.75M-35.2%$61.3M-4.8%$64.4M+26.1%$51.06M-0.6%$51.36M+72.5%
$3.42M+6.0%$3.22M
$63.26M+33.3%$47.45M+50.0%$31.63M+100%$15.82M
$14.19M+0.5%$14.12M+1,322%$993K-7.8%$1.08M-2.8%$1.11M-16.3%
$0$0$0$0
$7.99M+12.7%$7.09M+13.3%
$1.06M+104%

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Questions, answered.

How much cash does Ceva generate?
Ceva (CEVA) generated -$10.1M in operating cash flow over the trailing twelve months.
What is Ceva's free cash flow?
After $4.9M of capital expenditures, Ceva's free cash flow was -$14.2M over the trailing twelve months, down 63.6% year over year.
Where does Ceva's cash flow data come from?
Every line is extracted from Ceva'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.