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Our Bond, Inc. OBAI Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$10.42M+5.4%
$53K-2.3%$54.25K-2.3%$55.5K-2.2%$56.75K-2.2%
$802.75K-16.5%
-$1.43M-85.4%
-$902.75K-23.8%
$759K+27.7%$594.25K+38.4%$429.5K+62.2%$264.75K+165%
-$105K-3,400%-$3K-103%$99K-50.7%$201K-33.7%
-$214K-490%-$36.25K-126%$141.5K-55.7%$319.25K-35.8%
-$7.53M+7.6%
$36.5K+7.4%$34K-17.1%$41K-14.6%$48K-12.7%$55K-11.3%
-$36.5K-7.4%-$34K+17.1%-$41K+14.6%-$48K+12.7%-$55K+11.3%
$88K
$7.78M+3.2%
-$41K-28.1%
$160.75K+123%
$119K+17.5%$101.25K+21.3%$83.5K+27.0%$65.75K+37.0%
$2.43M+357%$533K
$55.5K-4.3%
-$118K-218%
$384.75K-22.6%
$256.25K-15.4%
$1.5M-0.6%
$130.75K+34.8%
$5.8M+33.2%
$57K
$819K
$3M
$4.49M+119%$2.05M
-$254K
-$365.5K-190%-$126K
$451K-29.2%$637K-22.6%$823K-18.4%$1.01M-15.6%
$1.03M+13.5%
$373K-2.9%$384K
$6.83M
-$41K-28.1%
$64K+33.3%
-$9.64M-38.6%-$6.96M+4.3%-$7.27M+4.2%-$7.59M+4.0%-$7.9M+3.8%
-$9.64M-38.6%-$6.96M+4.3%-$7.27M+4.2%-$7.59M+4.0%-$7.9M+3.8%

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Questions, answered.

How much cash does Our Bond, Inc. generate?
Our Bond, Inc. (OBAI) generated -$9.9M in operating cash flow over the trailing twelve months.
What is Our Bond, Inc. 's free cash flow?
After $36.5K of capital expenditures, Our Bond, Inc. 's free cash flow was -$9.6M over the trailing twelve months, down 21.9% year over year.
Where does Our Bond, Inc. 's cash flow data come from?
Every line is extracted from Our Bond, 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.