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8x8, Inc. EGHT Cash Flow Statement

TTM Q4 '26TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25
$1.65M+143%-$3.86M+34.9%-$5.93M+72.1%-$21.24M+22.0%-$27.21M+40.1%
$6.61M-3.4%$6.85M-2.5%$7.02M-2.1%$7.17M-3.0%$7.39M-5.2%
$20.37M-15.5%$24.1M-18.3%$29.48M-12.0%$33.49M-16.1%$39.94M-14.6%
-$438K-365%$165K-82.6%$949K-47.2%$1.8M-2.4%$1.84M-7.8%
$3.23M+249%$926K+112%-$7.85M+3.0%
-$17.36M+7.8%-$18.83M+14.3%-$21.98M-9.6%-$20.05M+19.2%-$24.81M-29.3%
$9.96M+30.7%$7.62M+106%
$2.88M+322%-$1.3M-274%-$346K-116%
-$1.79M+23.6%-$2.35M-96.9%-$1.19M-230%$916K+126%-$3.5M+7.5%
$14.2M-1.3%$14.4M-9.5%$15.91M-9.1%$17.51M-8.4%$19.1M-6.3%
$10.87M-0.9%$10.97M-1.4%$11.12M-1.7%$11.32M-2.7%$11.63M-1.3%
-$147K+43.5%-$260K+43.0%-$456K+96.3%-$12.41M-0.7%-$12.33M-0.9%
$55.79M+18.0%$47.27M-12.1%$53.8M-6.1%$57.28M-9.9%$63.55M-9.6%
$3.68M+6.4%$3.45M+48.2%$2.33M-2.7%$2.4M-0.2%$2.4M+2.0%
$0
$0
-$20.73M-9.1%-$19.01M-6.3%-$17.88M-1.0%-$17.71M-7.8%-$16.42M
$1.85M$0
-$1.35M+67.6%-$4.17M+8.2%-$4.55M-2.9%-$4.42M-3.2%-$4.28M-239%
$70K
-$31.84M+33.5%-$47.85M+37.6%-$76.63M+16.8%-$92.09M-22.6%-$75.11M+37.3%
$3.53M+512%$577K+146%
$5.64M+134%-$16.43M+60.1%-$41.18M+15.9%-$48.99M-78.8%-$27.4M
$17.32M-4.0%$18.05M-5.1%$19.01M-14.2%$22.16M-15.7%$26.3M-13.6%
$2.4M-14.4%$2.8M+1.8%$2.75M-28.7%$3.86M+2.5%$3.77M+3.9%
$33.08M-3.6%$34.31M-3.4%$35.53M-3.3%$36.75M-3.2%$37.98M-1.4%
$14.2M-1.3%$14.4M-9.5%$15.91M-9.1%$17.51M-8.4%$19.1M-6.3%
$11.46M+0.9%$11.35M-0.4%$11.39M-2.2%$11.64M-8.5%$12.73M-9.4%
$6.61M-3.4%$6.85M-2.5%$7.02M-2.1%$7.17M-3.0%$7.39M-5.2%
$17.11M-9.1%$18.83M-8.4%$20.55M-7.7%$22.27M-7.2%$23.99M+1.2%
-$1.79M+23.6%-$2.35M-96.9%-$1.19M-230%$916K+126%-$3.5M+7.5%
$9.96M+30.7%$7.62M+106%
-$438K-365%$165K-82.6%$949K-47.2%$1.8M-2.4%$1.84M-7.8%
$12.3M-0.1%$12.32M0.0%$12.31M+1.9%$12.08M+9.2%$11.07M-6.5%
$0
$0
$70K
-$1.35M+67.6%-$4.17M+8.2%-$4.55M-2.9%-$4.42M-3.2%-$4.28M-239%
$30M-33.3%$45M-38.4%$73M-74.7%$288M+5.5%$273M
-$864K+47.0%-$1.63M-254%-$461K+32.9%-$687K+69.1%-$2.23M-4.0%
$0-100%$136K-50.0%$272K-33.3%$408K-25.0%$544K+33.3%
$52.11M+18.9%$43.82M-14.9%$51.47M-6.2%$54.88M-10.3%$61.15M-10.0%
$52.11M+18.9%$43.82M-14.9%$51.47M-6.2%$54.88M-10.3%$61.15M-10.0%

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Questions, answered.

How much cash does 8x8, Inc. generate?
8x8, Inc. (EGHT) generated $55.8M in operating cash flow over the trailing twelve months.
What is 8x8, Inc.'s free cash flow?
After $3.7M of capital expenditures, 8x8, Inc.'s free cash flow was $52.1M over the trailing twelve months, down 14.8% year over year.
Where does 8x8, Inc.'s cash flow data come from?
Every line is extracted from 8x8, 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.