Skip to content

inTEST INTT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$2.27M-180%-$833K-118%-$100K-101%
$6.7M+14.4%$6.8M+26.0%$5.93M+5.2%$5.89M+14.7%$5.85M+22.2%
$1.48M-23.5%$1.61M-13.3%$1.62M-13.6%$1.8M-4.2%$1.93M+0.5%
-$1.39M+9.6%-$1.03M+31.6%-$1.1M-1,412%-$1.65M-1,220%-$1.54M-191%
$2.96M+163%$4.17M+185%-$4.52M-137%-$3.14M-$4.71M
$800K$3.15M-$1.79M
$296K$197K$180K
$1.31M-$682K
-$651K-250%-$256K+88.6%-$760K+69.1%
$1.69M+199%$119K+108%-$2.13M-129%-$1.44M-43.2%-$1.71M-4.4%
-$2.07M-20.2%-$2.08M-26.0%-$2.01M-25.0%-$1.85M-13.6%-$1.73M+0.6%
$7.28M-53.9%
$2.05M+68.8%$1.63M+23.3%$1.26M-14.2%$1.36M+9.8%$1.21M-6.5%
-$2.05M-97.6%-$1.63M+91.9%-$1.26M+93.8%-$1.36M+93.2%-$1.04M+94.9%
$4.1M-45.6%$4.1M-46.7%$5.29M+120%$6.61M+513%$7.53M+4,729%
$0
-$3.15M+71.8%-$8.23M+4.8%-$7.32M-$12.39M-$11.17M
-$6.36M+10.9%-$1.77M+93.5%$1.27M+105%-$2.98M+82.5%-$7.14M-163%
$400K-54.4%$456K-48.2%$615K-23.7%$741K-1.2%$878K+32.8%
$2.07M-11.3%$3.01M-6.6%
-$582K-$377K
-$2.07M-20.2%-$2.08M-26.0%-$2.01M-25.0%-$1.85M-13.6%-$1.73M+0.6%
$1.31M-$682K
$6K-$331K$71K
$882K+20.3%$817K+16.2%$776K+16.2%$700K+19.9%$733K+25.3%
$219K$135K
-$651K-250%-$256K+88.6%-$760K+69.1%
-$2.07M-20.2%-$2.08M-26.0%-$2.01M-25.0%-$1.85M-13.6%-$1.73M+0.6%
$2.34M
$6.07M-58.1%

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.