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8x8, Inc. EGHT Cash Flow Statement

Q4 '26Q3 '26Q2 '26Q1 '26Q4 '25
$106K+102%$5.09M+68.4%$767K+105%-$4.32M+58.1%-$5.4M+77.1%
$1.53M-13.4%$1.69M-9.5%$1.7M-8.0%$1.69M-11.4%$1.77M-18.6%
$4.5M-45.3%$4.15M-56.4%$5.36M-42.8%$6.35M-50.4%$8.23M-45.4%
-$185K-144%-$628K-503%$85K-90.9%$290K-13.2%$418K-27.1%
$2.29M+185%$6.89M+50.3%$9.5M+1,198%-$2.7M+8.2%
-$4.16M+26.1%-$7.15M+30.6%-$9.4M-25.8%$3.35M+337%-$5.63M
$1.89M-32.5%$3M+355%$5.67M+222%
-$40K+96.7%-$34K+99.2%-$368K-163%-$1.2M-196%
-$55K+91.0%-$6.9M-20.1%$1.51M-58.3%$3.66M+584%-$609K+31.8%
$3.62M-5.0%$3.58M-29.7%$3.5M-31.3%$3.5M-31.3%$3.81M-25.3%
$2.62M-3.7%$2.72M-5.4%$2.68M-6.9%$2.85M-9.8%$2.72M-5.3%
$0+100%-$20K+90.7%-$46K+99.6%-$81K-$113K
$7.89M-15.0%$8.45M-14.3%$8.96M-9.0%
$14.39M+145%$20.69M-24.0%$8.84M-28.3%$11.87M-34.6%$5.87M-53.6%
$577K+62.1%$1.58M+246%$1.14M-5.4%$377K-1.3%$356K+15.2%
$0$0$0$0-100%
$0$0$0$0-100%
-$7.92M-27.9%-$4.15M-37.2%-$4.24M-4.1%-$4.42M-41.1%-$6.19M
$1.85M$0
$1.6M-20.4%$2.01M-20.2%
-$198K+93.4%-$184K+67.0%-$480K-36.4%-$489K-38.9%-$3.02M
$17.5K$17.5K-95.7%$17.5K$17.5K
$0+100%-$5.18M+84.7%-$9.32M+62.4%-$17.34M-4,825%-$16.01M+73.7%
$161K+105%$2.79M+1,800%$1.03M+228%
$6.76M+144%$11.52M+187%-$5.55M+58.5%-$7.09M-149%-$15.3M
$6.05M-10.7%$2.23M-30.1%$6.47M-32.7%$2.57M-61.7%$6.78M-37.9%
$270K-59.9%$757K+6.9%$799K-58.1%$574K+19.8%$673K+27.0%
$361K-15.5%$362K-44.8%$336K-68.4%
$8.27M-12.9%$8.27M-12.9%$8.27M-12.9%$8.27M-12.9%$9.49M-5.5%
$7.89M-15.0%$8.45M-14.3%$8.96M-9.0%
$3.62M-5.0%$3.58M-29.7%$3.5M-31.3%$3.5M-31.3%$3.81M-25.3%
$2.85M+3.8%$2.92M-1.4%$3.01M-7.7%$2.67M-28.9%$2.75M-32.4%
$1.53M-13.4%$1.69M-9.5%$1.7M-8.0%$1.69M-11.4%$1.77M-18.6%
$4.28M-28.7%$4.28M-28.7%$4.28M-28.7%$4.28M-28.7%$6M+4.8%
$3.98M-22.6%$3.94M-48.5%$4.47M-6.9%
-$55K+91.0%-$6.9M-20.1%$1.51M-58.3%$3.66M+584%-$609K+31.8%
$1.89M-32.5%$3M+355%$5.67M+222%
-$185K-144%-$628K-503%$85K-90.9%$290K-13.2%$418K-27.1%
$2.59M-0.6%$2.57M+0.2%$3.1M+8.2%$4.04M+33.5%$2.6M-22.9%
$0$0$0$0-100%
$0$0$0$0-100%
$17.5K$17.5K-95.7%$17.5K$17.5K
-$198K+93.4%-$184K+67.0%-$480K-36.4%-$489K-38.9%-$3.02M
$1.6M-20.4%$2.01M-20.2%
$0
$0-100%$5M-84.8%$10M-95.6%$15M$15M
-$261K+74.6%-$357K-144%-$37K+85.9%-$209K+88.0%-$1.03M-9.1%
$0-100%$0-100%$0-100%$0-100%$136K
-$108K$87K$21K-99.4%
$13.81M+150%$19.11M-28.6%$7.69M-30.8%$11.5M-35.3%$5.52M-55.3%
$13.81M+150%$19.11M-28.6%$7.69M-30.8%$11.5M-35.3%$5.52M-55.3%

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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.