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Corsair Gaming, Inc. CRSR Cash Flow Statement

FY'25FY'24FY'23FY'22
-$86.12M
$13.96M+3.8%$13.45M+10.1%$12.21M+13.8%$10.73M+4.2%
$33.11M+8.2%$30.59M-0.9%$30.87M+39.3%$22.16M+28.6%
-$6.61M-$21.74M-81.7%
$17.72M
-$18.32M-146%$39.47M+135%-$111.29M
$62.15M
$32.23M+508%$5.3M
-$8.99M-$1.9M-50.0%-$1.27M
-$5.66M-32.8%-$4.26M
$35.88M$66.39M
$15.37M+56.1%$9.85M-22.8%$12.76M-51.5%$26.32M+140%
$14.22M
$100K
-$15.37M+70.8%-$52.71M-95.3%-$26.98M+42.6%-$47.03M-129%
$701.5M+182%
$25M$701.5M
$5.64M+4.9%$5.38M-27.8%$7.45M+6.2%$7.02M-52.8%
$5.79M+491%$980K
$1.21M+111%$573K-59.3%$1.41M-8.0%$1.53M
-$48.87M+3.6%-$50.68M-26.2%-$40.17M-155%$72.61M+208%
$3.33M-$281K
$24.5M
$8.84M-30.9%$12.79M-23.7%$16.77M+86.0%$9.02M-20.0%
$11M+111%$5.22M-29.2%$7.38M-48.1%$14.22M-65.5%
$40.23M+4.6%$38.45M-0.1%$38.49M-10.1%$42.8M+23.0%
-$2.58M-200%$2.58M
$13.96M+3.8%$13.45M+10.1%$12.21M+13.8%$10.73M+4.2%
$32.23M+508%$5.3M
-$8.99M-$1.9M-50.0%-$1.27M
-$5.66M-32.8%-$4.26M
-$666K
$81.66M
$5.64M+4.9%$5.38M-27.8%$7.45M+6.2%$7.02M-52.8%
$2.49M
$592K
$1.04M
$11M+111%$5.22M-29.2%$7.38M-48.1%$14.22M-65.5%
$26.03M$40.07M

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Questions, answered.

How much cash does Corsair Gaming, Inc. generate?
Corsair Gaming, Inc. (CRSR) generated $116.8M in operating cash flow over the trailing twelve months.
What is Corsair Gaming, Inc.'s free cash flow?
After $16.0M of capital expenditures, Corsair Gaming, Inc.'s free cash flow was $102.1M over the trailing twelve months, up 292.4% year over year.
Where does Corsair Gaming, Inc.'s cash flow data come from?
Every line is extracted from Corsair Gaming, 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.