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The Honest Company HNST Cash Flow Statement

FY'25FY'24FY'23FY'22
-$15.69M-156%-$6.13M+84.8%-$40.38M+17.6%-$49.02M-26.7%
$2.9M+2.0%$2.84M+3.8%$2.74M-0.5%$2.75M-33.6%
$10.51M-32.9%$15.68M-0.8%$15.8M+4.8%$15.08M-10.5%
$2.88M$0$0
-$10.2M-2,799%$378K-44.6%$682K-93.7%$10.84M+16.5%
$10.93M+125%-$43.48M-212%$38.99M+3,995%
-$3.56M-348%$1.44M+117%-$8.5M-295%$4.36M
$6.18M-$1.37M-145%-$558K-279%
-$375K+62.4%-$998K-171%$1.4M+1,582%$83K
$6.65M+3.2%$6.44M+3.0%$6.26M+1.2%$6.18M
-$8.94M-10.3%-$8.11M-5.4%-$7.69M-9.7%-$7.01M
$15.12M$19.35M+125%-$76.28M-99.9%
$1.51M+185%$530K-71.2%$1.84M+13.7%$1.62M+635%
$0$0-100%$10K$0
-$1.51M-185%-$530K$34.96M
$41.45M
$19K-67.2%$58K-80.9%$303K-73.1%
$535K-98.7%$41.6M
$14.15M-66.8%$42.61M+82.8%$23.31M+156%-$41.27M
$0$0-100%$1K-87.5%$8K-99.6%
$110K+23.6%$89K-23.3%$116K+14.9%$101K+32.9%
$2.88M$0$0
$3.81M
-$8.94M-10.3%-$8.11M-5.4%-$7.69M-9.7%-$7.01M
-$3.56M-348%$1.44M+117%-$8.5M-295%$4.36M
$15.9M$0$0
$6.65M+3.2%$6.44M+3.0%$6.26M+1.2%$6.18M
$0$0-100%$10K$0
$19K-67.2%$58K-80.9%$303K
$110K+23.6%$89K-23.3%$116K+14.9%$101K+32.9%
$13.61M$17.52M+122%-$77.89M-103%
$13.61M$17.52M+122%-$77.89M-103%

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Questions, answered.

How much cash does The Honest Company generate?
The Honest Company (HNST) generated $23.6M in operating cash flow over the trailing twelve months.
What is The Honest Company's free cash flow?
After $3.2M of capital expenditures, The Honest Company's free cash flow was $20.4M over the trailing twelve months, up 34.4% year over year.
Where does The Honest Company's cash flow data come from?
Every line is extracted from The Honest Company'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.