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AMMO, Inc. POWW Cash Flow Statement

FY'26FY'25FY'24FY'23
-$3.54M+97.3%-$130.83M-688%-$16.59M-89.3%-$8.77M
$14.4M+5.9%$13.59M-3.5%$14.08M+8.7%$12.95M-25.6%
$1.51M-66.3%$4.47M
$0-100%$40.37M+1,159%-$3.81M
-$45.69K-$259.54K
-$274.3K-143%$637.79K
$381.97K+582%$56.03K
$1.38M
$3.65M-$3.67M-89.3%-$1.94M+5.9%
-$1.61M
$0
-$531.59K+0.5%-$534.15K-6.9%-$499.45K+22.9%-$647.48K-220%
$594.52K$83.25K0.0%$83.25K
$59.03K
$32.63M-8.2%$35.56M+1,913%
$2.89M-15.2%$3.41M
$542.83K
-$8.02M+36.0%-$12.54M+82.0%
$314.09K-52.7%$663.49K-69.2%$2.15M
$2.93M-1.4%$2.97M0.0%$2.97M+0.3%$2.96M+17.3%
-$8.66M-30.0%-$6.66M+76.5%
$39.63M+256%-$25.36M-259%$15.95M
$15.12M+188%$5.25M
$9.31M+239%-$6.68M
$760.08K+13.9%$667.06K+0.3%$665.04K+6.1%
$49.54K$0-100%$1.3M
$594.52K$83.25K0.0%$83.25K
$59.03K
$15.12M+188%$5.25M
-$45.69K-$259.54K
$1.41M+102%-$65.61M-484%-$11.24M+9.2%-$12.39M
$1K
-$531.59K+0.5%-$534.15K-6.9%-$499.45K+22.9%-$647.48K-220%
$1.38M
$3.65M-$3.67M-89.3%-$1.94M+5.9%
$726.26K
-$274.3K-143%$637.79K
$506.48K-5.2%$534.07K+12.1%$476.25K-24.3%$629.14K
$0-100%$35.96M
-$2.08M+61.4%-$5.37M+50.2%-$10.78M
$542.83K
-$240.94K+45.0%-$438.28K+61.8%-$1.15M
-$4.25M-$8.22M-49.0%-$5.52M
$1.01M$2.15M+312%$522.43K
$2.93M-1.4%$2.97M0.0%$2.97M+0.3%$2.96M+17.3%
-$144.62K-$144.62K
-$531.59K+0.5%-$534.15K-6.9%-$499.45K+22.9%-$647.48K-220%
$9.31M+239%-$6.68M
$108.74K
$12.25M
$29.98M-14.9%$35.24M

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Questions, answered.

What is AMMO, Inc.'s free cash flow?
After $2.9M of capital expenditures, AMMO, Inc.'s free cash flow was -$21.4M over the trailing twelve months, down 171.4% year over year.
Where does AMMO, Inc.'s cash flow data come from?
Every line is extracted from AMMO, 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.