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Omeros OMER Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$121.16M+1.1%-$122.47M+20.0%-$153.09M+2.4%
$914K-5.2%$964K-6.4%$1.03M+0.3%$1.03M-0.8%$1.04M+8.9%
$7.63M-6.9%$8.19M-7.8%$8.89M-7.3%$9.59M-6.8%$10.29M-2.0%
$237.59M+33.3%$178.2M+50.0%$118.8M+100%$59.4M
$752K-42.6%$1.31M
$4.96M+55.9%$3.18M
-$94.76M+18.4%-$116.09M-10.3%-$105.23M+11.4%-$118.82M+16.8%-$142.86M+4.0%
$24K-63.1%$65K-28.6%$91K+12.3%$81K-45.3%$148K-10.3%
$161.58M-5.7%$171.38M+80.8%$94.79M-27.5%$130.83M-28.4%$182.68M+122%
$4.15M$0
$752K+0.4%$749K-21.3%$952K+0.6%$946K+8.1%$875K+5.5%
-$62.31M-47.8%-$42.17M
-$2.36M-138%$6.26M
$30.77M-13.1%$35.42M+3.2%$34.31M-27.4%$47.23M+21.9%$38.75M+8.6%
$752K-42.6%$1.31M
-$63.51M+53.5%-$136.72M-20,583%-$661K-108%$8.16M+17,841%-$46K-342%
$240M+33.3%$180M+50.0%$120M+100%$60M
$752K+0.4%$749K-21.3%$952K+0.6%$946K+8.1%$875K+5.5%
$0
-$34.28M-2.0%-$33.62M+2.5%-$34.47M+0.4%-$34.62M+6.4%-$36.97M+6.8%
$13.9M-5.6%$14.72M-5.8%$15.62M-3.3%$16.15M-2.3%$16.53M-2.3%
-$7.58M-35.1%
$17.9M+19.7%$14.96M+7.5%$13.91M-5.9%$14.78M-3.8%$15.36M-18.2%
-$94.78M+18.4%-$116.16M-10.3%-$105.32M+11.4%-$118.9M+16.9%-$143.01M+4.0%
-$94.78M+18.4%-$116.16M-10.3%-$105.32M+11.4%-$118.9M+16.9%-$143.01M+4.0%

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Questions, answered.

How much cash does Omeros generate?
Omeros (OMER) generated -$94.8M in operating cash flow over the trailing twelve months.
What is Omeros's free cash flow?
After $24.0K of capital expenditures, Omeros's free cash flow was -$94.8M over the trailing twelve months, up 33.7% year over year.
Where does Omeros's cash flow data come from?
Every line is extracted from Omeros'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.