Skip to content

inTEST INTT Cash Flow Statement

FY'25FY'24FY'23FY'22
$2.89M-69.1%$9.34M+10.4%$8.46M+16.2%
$6.8M+26.0%$5.39M+15.1%$4.68M-1.1%$4.73M+50.5%
$1.61M-13.3%$1.86M-9.3%$2.05M+14.5%$1.79M+23.2%
-$1.03M+31.6%-$1.51M-30.3%-$1.16M+30.3%-$1.66M-239%
-$2.99M
$4.17M+185%-$4.9M$10.63M+318%
$3.15M
$197K$686K
$649K
-$1.39M-83.0%-$759K
$119K+108%-$1.4M-278%-$371K
-$2.08M-26.0%-$1.65M+3.7%-$1.71M-25.6%-$1.36M-11.9%
$3.82M-76.4%$16.2M
$1.63M+23.3%$1.32M+2.6%$1.29M-5.4%$1.37M+37.3%
-$1.63M+91.9%-$20.05M-1,453%-$1.29M
$4.1M-46.7%$7.69M$0
$0$0-100%
$687K
-$8.23M+4.8%-$8.64M-$3.73M-117%
$163K
-$1.77M+93.5%-$27.29M-189%$30.68M
$456K-48.2%$881K+28.1%$688K
$3.08M-5.0%$3.24M-17.4%$3.92M+197%
-$377K$1.33M$0
-$2.08M-26.0%-$1.65M+3.7%-$1.71M-25.6%-$1.36M-11.9%
$649K
-$331K$535K
$817K+16.2%$703K+29.2%$544K-29.4%$771K+280%
$163K
-$1.39M-83.0%-$759K
-$2.08M-26.0%-$1.65M+3.7%-$1.71M-25.6%-$1.36M-11.9%
$1.6M+40.7%$1.14M-26.2%
$3.07M
$2.5M-83.3%$14.91M

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does inTEST generate?
inTEST (INTT) generated $8.3M in operating cash flow over the trailing twelve months.
What is inTEST's free cash flow?
After $2.0M of capital expenditures, inTEST's free cash flow was $6.9M over the trailing twelve months, up 54.1% year over year.
Where does inTEST's cash flow data come from?
Every line is extracted from inTEST'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.