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Kaltura, Inc. KLTR Cash Flow Statement

FY'25FY'24FY'23FY'22
-$12.07M+61.4%-$31.32M+32.5%-$46.37M+32.3%-$68.5M-15.4%
$4.5M-11.1%$5.06M+7.4%$4.72M+74.3%$2.71M+12.2%
$16.49M-37.2%$26.26M-12.4%$29.98M+26.8%$23.65M+38.6%
$0
-$3.62M
-$5.88M
-$648K-51.0%-$429K
-$2.37M$447K
$7.47M
$11.2M-2.1%$11.45M-1.9%$11.67M+7.4%$10.87M+34.6%
$14.54M+18.9%$12.23M-$47.97M-109%
$661K+26.9%$521K-80.0%$2.61M+114%$1.22M-35.1%
$54.14M+6.4%$50.87M+6.6%$47.71M-20.7%$60.17M
-$12.41M-684%-$1.58M+96.8%-$49.76M-849%
$26.21M+797%$2.92M$0
$3.5M+60.0%$2.19M-51.4%$4.5M+50.0%$3M-94.2%
$3.11M+92.2%$1.62M+17.1%$1.38M-49.4%$2.73M+105%
-$29.65M-667%-$3.87M-3,646%$109K
$544K$774K+154%-$1.42M
-$5.54M+36.7%-$8.74M-$122.95M
$2.23M-17.3%$2.69M-8.8%$2.95M+28.3%$2.3M+18.3%
$2.05M-45.8%$3.77M-12.1%$4.29M-51.6%$8.87M+237%
$11.2M-2.1%$11.45M-1.9%$11.67M+7.4%$10.87M+34.6%
$774K+154%-$1.42M
$706K+232%-$534K+90.9%-$5.88M-288%$3.13M-19.4%
$5.38M+575%$797K
$458K
-$2.37M$447K
-$648K-51.0%-$429K
-$5.07M+32.4%-$7.5M-14.3%-$6.56M+43.2%-$11.56M+36.0%
-$840K+2.7%-$863K-264%$527K
$0-100%$1.49M-68.6%$4.76M+19.6%
$0$0
$30K$0
$3.5M+60.0%$2.19M-51.4%$4.5M+50.0%$3M-94.2%
$230K
$0-100%$645K-23.7%$845K+185%$296K
$2.31M$0$0
$2.05M-45.8%$3.77M-12.1%$4.29M-51.6%$8.87M+237%
$13.88M+18.5%$11.71M-$48.95M-100%
$13.88M+18.5%$11.71M-$48.95M-100%

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Questions, answered.

How much cash does Kaltura, Inc. generate?
Kaltura, Inc. (KLTR) generated $16.2M in operating cash flow over the trailing twelve months.
What is Kaltura, Inc.'s free cash flow?
After $425.0K of capital expenditures, Kaltura, Inc.'s free cash flow was $15.8M over the trailing twelve months, up 36.3% year over year.
Where does Kaltura, Inc.'s cash flow data come from?
Every line is extracted from Kaltura, Inc.'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.