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FitLife Brands, Inc. FTLF Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$6.76M-15.1%$7.96M-10.0%$8.84M-1.6%
$649K+54.5%$420K+119%$192K+146%$78K-14.3%$91K-15.7%
$531K-39.7%$881K
$26K+174%-$35K$0-100%$1K-95.0%$20K-16.7%
$459K+227%
$3.34M+58.4%
-$978K-68.0%-$582K-210%$527K+388%$108K+113%-$863K-68.6%
-$214K
$68K+134%-$200K
-$557K-931%-$54K
$94.5K+5.0%
-$308K-38.1%-$223K-60.4%-$139K-46.3%-$95K+2.1%-$97K+9.3%
$7.6M+2.1%$7.44M-8.7%$8.15M+24.9%$6.53M-5.4%$6.9M-28.2%
$18K-57.1%$42K
-$42.52M+0.1%-$42.54M
$4.5M0.0%$4.5M-35.7%
$914K+231%$276K+1,524%
$31.95M-6.1%$34.01M+3.4%$32.9M+966%-$3.8M+10.0%-$4.22M+39.5%
-$1.95M-167%$2.9M+2.9%
$2.25M+28.8%$1.75M+28.1%$1.37M+29.0%$1.06M-10.5%$1.18M-13.2%
$2.38M+0.9%$2.36M-35.7%$3.67M-6.2%$3.92M+43.0%$2.74M+9.6%
$531K-39.7%$881K
-$308K-38.1%-$223K-60.4%-$139K-46.3%-$95K+2.1%-$97K+9.3%
$68K+134%-$200K
$314K-22.3%$404K-9.6%$447K-3.2%$462K-0.4%$464K+1.1%
$94.5K+5.0%
$26K+174%-$35K$0-100%$1K-95.0%$20K-16.7%
-$214K
-$308K-38.1%-$223K-60.4%-$139K-46.3%-$95K+2.1%-$97K+9.3%
$2.38M+0.9%$2.36M-35.7%$3.67M-6.2%$3.92M+43.0%$2.74M+9.6%
$7.58M+2.4%$7.4M-8.8%$8.12M+24.9%$6.5M-5.5%$6.88M-28.4%
$7.58M+2.4%$7.4M-8.8%$8.12M+24.9%$6.5M-5.5%$6.88M-28.4%

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Questions, answered.

How much cash does FitLife Brands, Inc. generate?
FitLife Brands, Inc. (FTLF) generated $7.6M in operating cash flow over the trailing twelve months.
What is FitLife Brands, Inc.'s free cash flow?
After $18.0K of capital expenditures, FitLife Brands, Inc.'s free cash flow was $7.6M over the trailing twelve months, up 10.2% year over year.
Where does FitLife Brands, Inc.'s cash flow data come from?
Every line is extracted from FitLife Brands, 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.