Skip to content

One Stop Systems, Inc. OSS Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$6.74M+147%$5.09M+137%-$6.91M+35.9%-$13.99M-84.1%-$14.31M-87.0%
$760.92K-8.6%$771.55K-16.8%$788.64K-26.9%$815.01K-25.1%$832.52K-22.1%
$1.86M-8.0%$1.79M-3.8%$1.97M+4.9%$1.98M+2.4%$2.03M-11.1%
$870.32K+231%$7.36M+983%$1.5M+174%-$2.58M-639%$262.88K+111%
$744.99K+349%-$674.69K-219%-$557.24K$305.27K-$298.78K
-$271.08K$61.2K
-$37.73K-$137.46K
-$1.37M+58.2%-$6.55M-5,960%-$7.18M-585%-$2.84M-125%-$3.29M-308%
$73.91K
-$7.65M-336%$3.03M-29.5%$2.74M-50.2%$3.76M$3.23M
$551.62K
$593.73K
$1.47M+202%$528.19K+133%-$254.32K+42.9%
$357.42K+881%$4.67K
$20.05M$26.58M
$2.24M
$1.41M
$54.68K-39.7%$58.91K-44.1%$62.79K-45.8%
$573.17K-17.5%$525.61K-23.4%$524.32K-14.2%
$2.24M
$760.92K-8.6%$771.55K-16.8%$788.64K-26.9%$815.01K-25.1%$832.52K-22.1%
-$131.25K-718%-$95K-258%-$56.25K-$17.5K$21.25K
-$271.08K$61.2K
-$5.17M
-$37.73K-$137.46K
-$100-100%$58.38K$24.53K$29.9K
-$111.79K
$73.91K
-$716.2K
-$42.1K
$357.42K+881%$4.67K
$344.92K
$1.41M
-$1.5M+55.4%-$6.67M-1,882%-$7.57M-1,134%-$3.04M-52.8%-$3.35M-596%
-$1.5M+55.4%-$6.67M-1,882%-$7.57M-1,134%-$3.04M-52.8%-$3.35M-596%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does One Stop Systems, Inc. generate?
One Stop Systems, Inc. (OSS) generated -$1.4M in operating cash flow over the trailing twelve months.
What is One Stop Systems, Inc.'s free cash flow?
After $482.9K of capital expenditures, One Stop Systems, Inc.'s free cash flow was -$1.5M over the trailing twelve months, up 55.4% year over year.
Where does One Stop Systems, Inc.'s cash flow data come from?
Every line is extracted from One Stop Systems, 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.