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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$111.83M-3.7%-$116.79M-21.1%-$125.37M-43.5%-$93.66M-1.6%-$107.84M-16.4%
$5.49M-3.5%$5.44M-3.9%$5.66M+7.7%$5.75M+13.8%$5.69M+16.2%
$18.03M+82.2%$13.97M+40.3%$11.22M+7.8%$9.6M-13.1%$9.9M-13.6%
-$34K-264%-$76K-243%-$43.75K-125%-$11.5K-104%$20.75K-95.1%
$5.37M$5.5M$4.04M
$7.48M$0$0$0$0
$188K-$415K-$414K
$7.15M+8.3%$6.84M-14.3%
-$1.94M-253%
-$7.38M$9.31M$9.25M
$3.94M+102%$3.64M+135%$2.78M+184%
$74K$89K-$97K-$150K
$3.42M$3.13M$2.96M$2.86M
-$3.81M-$3.72M-$3.56M-$3.44M
$6.66M+54.6%$6.02M+61.0%$5.45M+62.3%$4.88M+63.9%$4.31M+65.9%
-$70.96M-29.7%-$54.02M+8.1%-$57.47M+10.0%-$64.78M+10.9%-$54.72M+26.6%
$5.81M+64.1%$5.03M+42.3%$3.46M-26.8%$3.24M-38.0%$3.54M-37.5%
$204.7M$233.54M
$46.56M+23.3%
-$238.89M-6,644%-$238.57M-6,657%-$3.46M+26.8%-$3.24M+38.0%-$3.54M+37.5%
$0$0
$6.01M+30.9%$3.3M-36.0%$3.81M-3.1%$4.3M+66.9%$4.59M+190%
$855.5K$510K
$75.32M-41.0%
-64,250,000%+18,125,000%
-4,866,900,000%-16,023,350,000%
$8.57M-52.7%$12.67M-34.1%$15.27M-23.6%$16.77M-17.7%
$2.09M$1.68M
$10.15M-14.9%
$188K-23.0%$202K$216K$230K
$5.37M+397%$5.5M+236%$4.04M+84.3%$1.68M-32.5%
$15K
$3.78M+13.5%
$6.66M+54.6%$6.02M+61.0%$5.45M+62.3%$4.88M+63.9%$4.31M+65.9%
$0$0
-$558.75K-185%
$0
-$3.81M-13.8%-$3.72M-13.8%-$3.56M-24.3%-$3.44M-38.3%-$3.35M-57.5%
-$7.38M-158%$9.31M+158%$9.25M+635%$3.13M+49.8%$12.81M+338%
$74K+131%$89K+127%-$97K+3.0%-$150K-1,100%-$236.75K-367%
$11.45M+703%$7.94M+527%$2.88M+160%$3.18M+369%$1.43M+176%
$19.15M+32.3%$17.98M+34.8%$16.81M+37.7%$15.64M+41.2%
-$116.79M-21.1%-$111.7M-8.2%-$106.61M+3.1%-$101.52M+13.1%
$2.06M+78.4%
$3.42M+22.4%$3.13M+13.8%$2.96M+6.7%$2.86M+1.6%$2.79M-2.0%
$188K+152%-$415K-335%-$414K-188%-$376K-145%
$7.31M
$6.76M$7.28M$2.1M
$2M+33.3%$1.88M+42.1%$1.75M+53.6%$1.63M+69.5%
$169K
$357.25K$279K
$32.78M+10.4%
$1.24M
$43.9M+168%$46.49M+817%$14.96M+195%$18M+935%
$32.98M+4.6%
$98.78M+47.1%
$22.17M-8.4%
$3.59M-29.7%
-$41.21M-62.0%
-$405K$156K
$1.28M
$1.54M-21.1%
$2.38M+455%
-$76.77M-31.8%-$59.05M+5.3%-$60.92M+11.2%-$68.02M+12.7%-$58.26M+27.4%
-$76.77M-31.8%-$59.05M+5.3%-$60.92M+11.2%-$68.02M+12.7%-$58.26M+27.4%

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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.