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Q3 '26Q2 '26Q1 '26Q4 '25Q3 '25
$16.85M+26.8%-$12.66M-145%-$13.8M-160%-$74.72M-20.2%$13.29M-44.3%
$32.15M-20.3%$30.42M-22.2%$33.2M-10.2%$40.43M-0.5%$40.33M+11.0%
$2.99M-65.9%$2.83M-39.3%$3.49M-22.6%$3.68M-8.8%$8.79M+112%
$74.2M-14.3%$48.06M+24.1%-$6.41M-122%$22.45M+234%$86.62M+12.6%
$31.3M+22.8%$32.9M-34.8%$25.9M-37.7%$23.56M-50.1%$25.5M-23.8%
$44.08M+472%$44.05M$30.34M-42.2%$7.7M+32.4%
-$75.54M-128%-$38.99M+58.2%-$315.15M-689%-$53.9M+45.9%-$33.2M+15.5%
$8.82M+5.6%$8.88M+4.8%$8.2M-4.2%$8.35M
$7.53M-61.9%$19.07M-49.5%$5.31M-30.5%$6.99M-80.0%$19.73M+2,555%
$85M-22.7%$125M$40M$0
$276K-92.1%$269K-91.4%$1.28B+513,708%$3.52M+12.7%$3.51M+12.7%
$55.66M-42.6%$292.67M+1,744%$11.94M
-$37.26M-2,135%$64.88M+53.4%-$28.65M-0.5%-$19.4M+86.7%-$1.67M-107%
$42.9M-29.8%-$32.31M-166%$0+100%$61.12M+40.8%

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Questions, answered.

How much cash does Lucky Strike Entertainment generate?
Lucky Strike Entertainment (LUCK) generated $138.3M in operating cash flow over the trailing twelve months.
What is Lucky Strike Entertainment's free cash flow?
After $113.7M of capital expenditures, Lucky Strike Entertainment's free cash flow was $71.7M over the trailing twelve months, up 442.2% year over year.
Where does Lucky Strike Entertainment's cash flow data come from?
Every line is extracted from Lucky Strike Entertainment'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.