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CPS Technologies Corp. CPSH Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$30.21K+101%$420.35K+113%-$587.39K+70.6%-$1.84M-134%-$2.9M-477%
$587.65K-3.7%$601.19K+9.9%$635.93K+28.3%$630.39K+33.0%$610.49K+31.0%
$199.09K-26.6%$273.03K-12.0%$281.07K+0.7%$276.19K+5.2%$271.32K+15.3%
-$95.41K+91.2%-$261.83K+72.7%-$1.89M-218%-$1.4M-216%-$1.08M-241%
$2.33M$1.27M$950.27K
$1.03M+199%$698.35K$725.78K
-$493.71K-$5.37K
$342.5K$65.62K
-$4.86M-330%
$1.11M+35.1%$730.66K-26.5%$537.89K-48.6%$444.46K-59.6%$823.99K+2.4%
$27.41K$26.11K$25.91K$21.36K$0
-$6.89M-275%-$8.5M-323%-$595.72K+70.9%-$739.09K+60.1%-$1.84M-128%
$43.48K-2.0%
$0-100%
-$43.48K-247%
-$6.74M-619%
$1.38K-68.6%
-$95.41K-111%-$261.83K-127%$29.27K-95.2%$515.55K+142%$834.99K+458%
$27.41K$26.11K$25.91K$21.36K$0
$43.48K-2.0%
$342.5K$65.62K
-$103.02K
$90K-56.8%
-$5.68M-534%

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Questions, answered.

How much cash does CPS Technologies Corp. generate?
CPS Technologies Corp. (CPSH) generated -$1.9M in operating cash flow over the trailing twelve months.
What is CPS Technologies Corp.'s free cash flow?
After $1.1M of capital expenditures, CPS Technologies Corp.'s free cash flow was -$1.7M over the trailing twelve months, up 61.3% year over year.
Where does CPS Technologies Corp.'s cash flow data come from?
Every line is extracted from CPS Technologies Corp.'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.