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Piper Sandler PIPR Cash Flow Statement

FY'25FY'24FY'23FY'22
$293.97M+86.7%$157.44M+59.1%$98.97M-2.2%$101.18M-69.4%
$17.39M+3.6%$16.78M-6.4%$17.93M+14.7%$15.64M+23.8%
$123.91M+19.9%$103.36M+10.2%$93.77M-28.5%$131.2M-23.5%
-$11.43M-135%$32.8M-39.2%
-$28.76M
$10M-2.8%$10.29M-47.1%$19.44M+26.4%$15.38M-48.9%
$313.26M
$34.67M+124%$15.5M+54.2%$10.05M-67.2%$30.6M+48.7%
$0-100%$96.5M
-$43.65M-37.4%-$31.77M-216%-$10.05M+92.1%-$127.1M-518%
$114.15M+54.8%$73.73M-12.7%$84.44M-21.5%$107.53M+8.2%
$125.04M+88.2%$66.43M-6.0%$70.68M-62.3%$187.33M+168%
$4.25M+436%$792K$0
$538K-98.8%$44.8M+178%
$30M$0
-$218.73M-21.1%-$180.61M+27.6%-$249.59M+0.2%-$250.06M-12.1%
-$1.14M
$326.58M$17.47M
$10M-2.8%$10.29M-47.1%$19.44M+26.4%$15.38M-48.9%
$25.35M+52.4%$16.64M+53.8%$10.82M+16.0%$9.32M-1.9%
$17.39M+3.6%$16.78M-6.4%$17.93M+14.7%$15.64M+23.8%
$33.47M+522%$5.38M
-$11.43M-135%$32.8M-39.2%
$63.17M
-$28.76M
-$3.64M
$40.56M$12.32M-63.4%$33.68M-51.1%
$538K-98.8%$44.8M+178%
$30M$0
-$1.14M
$297.76M

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Questions, answered.

How much cash does Piper Sandler generate?
Piper Sandler (PIPR) generated $394.7M in operating cash flow over the trailing twelve months.
What is Piper Sandler's free cash flow?
After $25.7M of capital expenditures, Piper Sandler's free cash flow was $369.7M over the trailing twelve months, down 34.4% year over year.
Where does Piper Sandler's cash flow data come from?
Every line is extracted from Piper Sandler'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.