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Netgear NTGR Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$13.04M-1,806%-$684K+85.7%-$4.78M+25.7%-$6.43M-6.5%-$6.03M
$3.62M+25.5%$2.89M+58.8%$1.82M+13.1%$1.61M-4.6%$1.68M-3.9%
$8.21M-6.1%$8.74M-0.8%$8.81M+32.0%$6.68M+21.5%$5.5M-17.1%
-$67K-$115K-$136K-118%
$110K+101%-$17.84M-219%$15.01M-$13.5M+36.0%
-$5.25M-150%$10.51M+5.5%$9.96M+6,493%$151K+105%-$3.21M
-$207K+98.5%-$13.94M-1,053%-$1.21M-131%$3.88M+208%-$3.6M-153%
$3.53M-50.9%$7.19M+2,189%$314K-96.2%$8.25M+291%-$4.31M-230%
$2.77M+20.6%$2.3M+166%-$3.5M-326%$1.55M+152%$615K+131%
$22K-$9K+61.3%
-$886K+34.6%-$1.35M-3.0%-$1.32M+7.3%-$1.42M-765%-$164K-156%
$532K+204%-$514K$0+100%-$10.03M-2,847%$365K
$146K-72.3%$528K+13.1%$467K-19.6%
$1.64M-91.6%$19.51M+364%-$7.38M-316%-$1.78M+79.7%-$8.74M-141%
$3.82M-35.0%$5.88M-39.4%$9.7M+175%$3.53M+153%$1.4M-44.0%
$8K
$0$60K$105K
$30M0.0%$30M0.0%$30M0.0%$30M0.0%$30M0.0%
-$3.97M-$9.66M+38.2%-$15.64M-1,141%-$1.26M+44.4%
$20.15M+34.3%$15M-25.0%$20M+167%$7.5M-8.1%$8.16M-19.8%
$0$676K-85.3%$4.59M+23.7%
$4.03M+101%$2M-2.8%$2.06M-54.8%$4.56M-11.4%$5.14M+6,408%
-$24.1M-41.7%-$17M+17.1%-$20.5M-80.1%-$11.38M-71.8%-$6.62M-1.3%
-$26.43M$0+100%-$37.54M-30.4%-$28.8M-73.2%-$16.63M-231%
$3.44M0.0%$3.44M0.0%$3.44M0.0%$3.44M+78.0%
-$644K$476K-47.8%
$3.53M-50.9%$7.19M+2,189%$314K-96.2%$8.25M+291%-$4.31M-230%
-$4.94M-144%$11.16M+15.0%$9.71M+1,487%-$700K+96.3%-$19.1M-245%
$2.77M+20.6%$2.3M+166%-$3.5M-326%$1.55M+152%$615K+131%
$1.9M+210%$612K-12.6%$700K-12.5%$800K-44.3%$1.44M+46.4%
$22K-$9K+61.3%
$0$60K$105K
$30.15M+49.3%$20.19M-32.5%$29.9M-0.1%$29.92M+0.6%$29.76M-0.1%
$30M0.0%$30M0.0%$30M0.0%$30M0.0%$30M0.0%
$2.48M$0
$2.56M$1.56M$2.09M
$687K$420K-72.0%$1.5M+9.9%$1.36M
-$886K+34.6%-$1.35M-3.0%-$1.32M+7.3%-$1.42M-765%-$164K-156%
$41.45M$0
$3.44M0.0%$3.44M0.0%$3.44M0.0%$3.44M+78.0%
-$2.18M-$17.09M-222%-$5.31M+47.7%-$10.14M-153%
-$2.18M-$17.09M-222%-$5.31M+47.7%-$10.14M-153%

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Questions, answered.

How much cash does Netgear generate?
Netgear (NTGR) generated $12.0M in operating cash flow over the trailing twelve months.
What is Netgear's free cash flow?
After $22.9M of capital expenditures, Netgear's free cash flow was -$34.7M over the trailing twelve months, down 122.3% year over year.
Where does Netgear's cash flow data come from?
Every line is extracted from Netgear'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.