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OS Therapies OSTX Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$35.27M-212%-$28.75M-224%-$18.28M-149%-$14.28M-121%-$11.3M-52.6%
$487.33K+17,430%$363.09K+12,961%$239.54K+17,133%$114.6K+2,336%$2.78K-42.3%
$4.76M+317%$4.27M+1,490%$2.73M$1.98M$1.14M
-$275.62K-111%
-$15.36M-52.3%-$14.24M-95.5%-$12.88M-123%-$11.56M-253%-$10.08M-213%
$22.4M+492%$16.36M+476%$8.43M+182%$5.89M+164%$3.79M+33.9%
$13.6M+3.6%$9.44M-26.1%$13.37M+75.4%$14.74M+344%$13.13M+343%
-$2.05M-171%-$5.26M-196%$19.52K$2.71M$2.88M
$4.76M$4.27M$2.93M$2.11M
-$275.62K-111%
$538.45K+47.4%$595.84K+2,283%$602.09K$369.09K$365.34K
-$35.27M-212%-$28.75M-223%-$18.28M-146%-$14.28M-118%-$11.3M-50.1%
$5.59M
$134.18K-39.8%$156.36K$178.53K$200.7K
$110K
-$1.08+14.3%-$0.99+25.6%-$1.22+20.8%-$1.19+31.6%-$1.26+35.4%
-$1.08+14.3%-$0.99+25.6%-$1.22+20.8%-$1.19+31.6%-$1.26+35.4%
$11.47M+55.1%$12.34M+211%$11.25M+458%$9.35M+877%$7.4M+574%
$2.5M
$228$249
$39.16M
-$1.4M-1,089%-$48.14K+97.7%$1.4M+160%$962.08K+129%-$117.7K+96.6%
-$33.87M-203%-$28.71M-321%-$19.68M-293%-$15.24M-378%-$11.18M-185%
$65.02K-90.9%
$466.05K$266.32K
$3.77M$530.16K
$26.47K$15.13K
$9.67K+117%$10.39K+494%$5.95K+38.0%$6.39K-7.1%$4.46K-52.7%
125M+150%107.6M+209%85.3M69.2M50.1M
-$14.7M

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Questions, answered.

How much cash does OS Therapies generate?
OS Therapies (OSTX) generated -$15.4M in operating cash flow over the trailing twelve months.
What is OS Therapies's free cash flow?
OS Therapies's free cash flow was -$14.7M over the trailing twelve months.
Where does OS Therapies's cash flow data come from?
Every line is extracted from OS Therapies'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.