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Gaia, Inc. GAIA Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$5.62M+0.5%-$5.39M+0.2%-$5.32M+16.9%-$5.53M+1.6%-$5.65M-6.6%
$7.79M-10.7%$8.05M-6.1%$8.39M+1.5%$8.6M+6.5%$8.72M+11.0%
$1.73M+40.6%$1.71M+37.4%$1.52M+6.6%$1.42M+20.2%$1.23M-6.3%
$192K+665%$135.5K+1,390%$79K+508%$22.5K-38.4%
-$202K-121%-$140K-109%$458K-87.6%$798K-62.4%$980K-48.3%
-$612K+69.8%-$3.59M-342%
-$1K-100%$264.5K$530K$795.5K
-$1.14M-$1.06M$1.63M
-$1.91M-$1.91M-$1.72M
$5.87M$5.67M$6.57M$6.65M
$6.65M+34.5%$6.05M+21.5%$5.46M-11.6%$4.9M-16.8%$4.94M+0.2%
$2M
$2M
-$10.87M+27.3%-$10.05M+33.0%-$7.48M+53.8%-$4.91M+69.1%-$14.96M-203%
$24.5M+8.4%
$6.01M-75.6%$8M-59.3%$14.18M-50.6%$20.68M-29.8%$24.68M-22.4%
$5.06M$12.1M
$630K$8.3M
$354K-42.4%$371K-36.7%$473K-3.5%$542K+10.6%$615K+32.5%
$72.75K$77K
$11.28M+14.7%$11.11M+24.4%$10.92M+44.2%$10.33M+40.5%$9.83M+25.9%
$1.73M+40.6%$1.71M+37.4%$1.52M+6.6%$1.42M+20.2%$1.23M-6.3%
-$1.91M-$1.91M-$1.72M
-$612K+69.8%-$3.59M-342%
$10.56M+3.8%$10.42M+3.7%$10.4M+5.4%$10.31M+6.3%$10.18M+7.2%
-$1K-100%$264.5K$530K$795.5K
$2M
$5.8M
$5.68M
$6.01M-75.6%$8M-59.3%$14.18M$20.68M$24.68M
$1.06M$672K
-$1.14M-$1.06M$1.63M
$4.25M
$1.11M

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Questions, answered.

How much cash does Gaia, Inc. generate?
Gaia, Inc. (GAIA) generated $5.9M in operating cash flow over the trailing twelve months.
What is Gaia, Inc.'s free cash flow?
After $6.6M of capital expenditures, Gaia, Inc.'s free cash flow was -$584.0K over the trailing twelve months, down 108.9% year over year.
Where does Gaia, Inc.'s cash flow data come from?
Every line is extracted from Gaia, 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.