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Oklo OKLO Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$128.92M-117%-$105.66M-43.5%-$76.56M-1.3%-$56.8M+23.6%-$59.4M-0.2%
$561K+63.6%$522K+94.8%$461K+111%$405K+148%$343K+204%
$55.07M+290%$41.8M+235%$24.53M+116%$17.04M+73.8%$14.13M
-$4.73M
-$2.79M-1,067%-$3.1M
$1.82M+688%$12.56M+935%$2.53M-$374K-$310.15K
$55K-65.0%$77K-33.0%$67K-25.5%$161K$157K
-$87.8M-103%-$82.17M-114%-$62.22M-104%-$52.06M-98.6%-$43.35M-91.7%
$65.68M+11,090%$33.21M+9,333%$6.32M+1,967%$1.39M+505%$587K
$900K
$1.24B+286%$820.48M+181%$787.13M+201%$436.03M$321.51M
$470.26M+207%$376.99M+224%$211.65M+214%$170.22M$153.38M
$2.45B+555,895%$1.26B$968.1M+1,285,129%$441.6M-$440K
$1.6M
$2.45B+822%$1.26B+319%$968.16M+216%$441.65M+40.1%$265.41M
$1.5B$691.31M$318.24M
$76K+445%$48K+304%
$1.82M+6,186%$12.56M+935%$2.53M-$374K$29K
$13.16M$21.57M$6.64M
$702K
$470.26M+207%$376.99M+224%$211.65M+214%$170.22M$153.38M
$4.9M$2.05M
$287K
$27.41M
-$153.48M-249%-$115.38M-198%-$68.54M-122%-$53.45M-102%-$43.93M
-$153.48M-249%-$115.38M-198%-$68.54M-122%-$53.45M-102%-$43.93M

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Questions, answered.

How much cash does Oklo generate?
Oklo (OKLO) generated -$87.8M in operating cash flow over the trailing twelve months.
What is Oklo's free cash flow?
After $65.7M of capital expenditures, Oklo's free cash flow was -$153.5M over the trailing twelve months, down 249.3% year over year.
Where does Oklo's cash flow data come from?
Every line is extracted from Oklo'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.