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Gevo GEVO Cash Flow Statement

FY'25FY'24FY'23FY'22
-$32.63M+58.5%-$78.64M-18.8%-$66.22M+32.4%-$98.01M-65.5%
$25.32M+38.4%$18.3M-3.7%$19.01M+141%$7.89M+53.8%
$9.21M-37.5%$14.73M-13.8%$17.09M-1.9%$17.42M+76.4%
$2.15M
$2M+674%
$2.69M-25.9%$3.64M+1,441%
$19.05M
-$1.09M+56.5%-$2.5M-175%-$908K-3.5%-$877K
$0
-$57.38M-6.8%-$53.72M-21.2%-$44.31M+8.2%
$30.11M-41.1%$51.09M$84.08M+48.1%
$6.07M
$2M
-$226.57M-337%-$51.82M$85.09M
$68.16M$0
$798K
$1.77M+94.9%$906K+4,018%$22K+83.3%$12K-20.0%
$1.45M
$9.68M+481%$1.67M
-$7.36M-3,795%-$189K
-$150.66M-29.3%-$116.56M$179.34M
$12.56M+676%$1.62M+57.3%$1.03M
$41.12M
$19.05M
-$1.09M+56.5%-$2.5M-175%-$908K-3.5%-$877K
$1.77M+94.9%$906K+4,018%$22K+83.3%$12K-20.0%
$9.68M+481%$1.67M
$1.45M
$2M
$40M-41.3%$68.16M
$14.34M-29.3%
$199K$0
$114K
-$108.47M-0.3%-$108.17M+15.7%-$128.39M-22.2%

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Questions, answered.

How much cash does Gevo generate?
Gevo (GEVO) generated -$54.5M in operating cash flow over the trailing twelve months.
What is Gevo's free cash flow?
After $33.2M of capital expenditures, Gevo's free cash flow was -$82.3M over the trailing twelve months, up 24.1% year over year.
Where does Gevo's cash flow data come from?
Every line is extracted from Gevo'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.