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Funko, Inc. FNKO Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$58.36M+14.5%-$68.3M+1.8%-$69.54M-5.5%-$65.89M-239%-$19.46M-29.2%
$58.61M-0.8%$59.1M-2.3%$60.49M-1.4%$61.38M-2.3%$62.8M+0.3%
$10.69M-7.4%$11.54M-3.7%$11.98M-7.0%$12.88M-1.3%$13.04M-4.1%
-$11.98M-1.4%-$11.81M+34.9%-$18.16M
$1.75M-49.0%$3.44M
$426K-83.9%$2.64M-45.6%$4.85M-31.3%$7.07M-23.9%
-$1.7M+61.3%-$4.38M
$18.69M-78.5%$86.76M-29.8%
$34.62M+5.0%$32.97M-8.6%$36.06M+0.9%$35.74M+1.6%$35.19M+7.3%
-$870K+18.2%-$1.06M+11.1%-$1.2M+5.2%-$1.26M-49.9%-$841K-4.0%
-$33.75M-5.8%-$31.9M+8.5%-$34.86M-1.1%-$34.48M-0.4%-$34.35M-36.1%
$125M+92.3%$65M+62.5%
$23.21M+0.3%$23.13M+0.3%$23.06M+0.3%$22.99M+0.3%$22.92M-26.3%
$656K-53.3%$1.41M+6.4%
$23.71M+145%-$52.47M+47.1%
$18.34M-3.4%$19M-3.3%$19.65M-3.2%$20.3M-3.1%
$5.36M+7.3%$4.99M+7.9%$4.63M+8.5%$4.26M+9.3%
$1.06M-84.8%
$426K-83.9%$2.64M-45.6%$4.85M-31.3%$7.07M-23.9%
$1.75M-49.0%$3.44M
-$1.7M+61.3%-$4.38M
-$870K+18.2%-$1.06M+11.1%-$1.2M+5.2%-$1.26M-49.9%-$841K-4.0%
$656K-53.3%$1.41M+6.4%
$0+100%-$14.25K+50.0%-$28.5K+33.3%-$42.75K+25.0%
$0-100%$136.75K-50.0%$273.5K-33.3%$410.25K-25.0%
$5.36M+7.3%$4.99M+7.9%$4.63M+8.5%$4.26M+9.3%
-$12.87M-123%$55.76M-41.3%

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Questions, answered.

How much cash does Funko, Inc. generate?
Funko, Inc. (FNKO) generated $25.5M in operating cash flow over the trailing twelve months.
What is Funko, Inc.'s free cash flow?
After $34.6M of capital expenditures, Funko, Inc.'s free cash flow was -$10.9M over the trailing twelve months, down 365.3% year over year.
Where does Funko, Inc.'s cash flow data come from?
Every line is extracted from Funko, 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.