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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$27.38M+15.4%-$24.4M+26.0%-$50.86M-166%-$9.2M+60.7%-$32.35M-54.5%
$1.42M+3.7%$1.37M-13.8%$1.3M-6.3%$1.4M+4.1%$1.37M+2.4%
$6.55M+163%$5.26M+109%$3.96M+69.5%$2.25M-11.8%$2.49M-2.4%
$23K+221%-$19K-243%-$19K-243%-$19K-243%-$19K-243%
$0-100%$1.6M+1,044%$2.77M$998K
$7.48M$0$0$0$0
$359K+247%$0-100%-$99K-$72K
$6.18M+71.7%$1.84M+40.8%$1.28M+32.6%$3.6M+274%
$1.67M+203%$1.14M+1,491%-$1.63M-1,890%
-$7.39M-179%$3.36M+1.9%$6.22M-$9.57M$9.3M
$1.58M+362%$796K+59.5%$1.54M+129%$341K-49.4%
$19K-44.1%$9K+105%$13K+133%$33K$34K
-0.9%
$1.01M+39.6%$875K+24.6%$786K+14.9%$748K$724K
-$981K-10.5%-$990K-18.1%-$938K-14.8%-$899K-$888K
$2.15M+42.5%$1.51M+61.0%$1.51M+61.0%$1.51M+61.0%$1.51M+61.0%
-$30.1M-129%-$10.6M+24.5%-$2.96M+71.2%-$27.3M-58.3%-$13.17M+23.7%
$1.89M+71.6%$1.9M+472%$1.24M+21.1%$790K-27.5%$1.1M+1.1%
$29.54M-49.4%$58.39M$58.39M$58.39M$58.39M
$30M
$21.62M+55.3%$13.92M+28.0%
-$1.43M-29.6%-$235.44M-70,816%-$1.24M-21.1%-$790K+27.5%-$1.1M-1.1%
$0$0$0$0$0
$73.86M
$3.29M+469%$857K-37.4%$1.01M-32.6%$852K-25.3%$578K-49.3%
$473K+271%$127.5K$127.5K$127.5K$127.5K
$6.16M-91.6%$214.94M+21,766%$72.92M+12,939%
$262K+211%$191K+170%-$236K-248%
-$25.11M-143%-$6.36M+91.1%$58.42M+427%
$0-100%$1.85M-58.5%$3.29M-31.3%$3.44M-28.2%
$836K+99.5%$419K$419K$419K$419K
$6.55M+163%$2.49M-2.4%
$47K-23.0%$47K-23.0%$47K-23.0%$47K-23.0%
$0-100%$1.6M+1,044%$2.77M+588%$998K+148%
$7.48M
$3.75K$3.75K$3.75K$3.75K
$1.1M+10.0%$1M+8.1%
$2.15M+42.5%$1.51M+61.0%$1.51M+61.0%$1.51M+61.0%$1.51M+61.0%
$0$0$0$0$0
-$418K-17.1%-$357K-431%
$136K
$7.5M$0
-$981K-10.5%-$990K-18.1%-$938K-14.8%-$899K-11.7%-$888K-10.4%
-$7.39M-179%$3.36M+1.9%$6.22M+5,742%-$9.57M-9,084%$9.3M+8,633%
$19K-44.1%$9K+105%$13K+133%$33K+161%$34K+163%
$3.91M+856%$5.31M+2,030%$216K-58.3%$2M+703%$409K+63.9%
$4.79M+32.3%$4.79M+32.3%$4.79M+32.3%$4.79M+32.3%
-$29.2M-21.1%-$29.2M-21.1%-$29.2M-21.1%-$29.2M-21.1%
$545K+8.1%
$7.4M
$1.01M+39.6%$875K+24.6%$786K+14.9%$748K+9.4%$724K+5.9%
$359K+247%$0-100%-$99K-62.3%-$72K-18.0%
$0$4.82M$11.54M+5,297%-$9.05M
$30M
$998K
$0-100%$5.7M+1,000%$548K$518K
$500K+33.3%$500K+33.3%$500K+33.3%$500K+33.3%
$42.25K$42.25K$42.25K$42.25K
$148K+112%$69.75K$69.75K$69.75K$69.75K
$10.42M+12.5%$9.26M+18.2%
0%0.1%0%
-1.1%
$309.75K$309.75K$309.75K$309.75K
$9.31M-21.8%$32.12M+5,390%$863K-77.9%$1.61M
$12.61M+27.6%$9.88M+28.4%
$42.16M+50.9%$27.94M+18.3%
$3K-99.9%$5.09M-10.5%
$2.46M+354%$543K-46.6%
2
$2.15M+114%-$14.84M-68.9%
$1.35M
-$522K-1,438%$39K$39K$39K$39K
$5.28M+840%$1.26M+117%$561K+288%
$568K+37.2%$414K+10.4%
$29.96M+38.5%$21.64M
15.9+124%10.5+194%7.1
$12.2M+1,009%$1.1M+159%
-$31.99M-124%-$12.5M+13.0%-$4.19M+62.9%-$28.09M-53.2%-$14.27M+22.2%
-$31.99M-124%-$12.5M+13.0%-$4.19M+62.9%-$28.09M-53.2%-$14.27M+22.2%

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Questions, answered.

How much cash does Heartflow, Inc. Common Stock generate?
Heartflow, Inc. Common Stock (HTFL) generated -$71.0M in operating cash flow over the trailing twelve months.
What is Heartflow, Inc. Common Stock's free cash flow?
After $5.8M of capital expenditures, Heartflow, Inc. Common Stock's free cash flow was -$76.8M over the trailing twelve months, down 31.8% year over year.
Where does Heartflow, Inc. Common Stock's cash flow data come from?
Every line is extracted from Heartflow, Inc. Common Stock'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.