Skip to content

Red Violet RDVT Cash Flow Statement

FY'25FY'24FY'23FY'22
$13.15M+87.8%$7M-52.0%$14.6M
$10.67M+11.6%$9.56M+14.5%$8.35M+25.1%$6.68M+23.6%
$6.5M+9.3%$5.95M+10.4%$5.39M-2.2%$5.51M-16.8%
$2.05M+120%-$10.31M
$85K+1,317%$6K-96.6%$177K+453%
$760K+122%$342K-68.6%$1.09M+525%$174K+83.2%
$3.4M$2.69M
-$150K$624K
$936K+836%$100K-93.1%$1.45M+238%
$654K
$316K+1,336%$22K+10.0%$20K
$29.35M+22.5%$23.96M+59.0%$15.07M+21.0%$12.46M+39.2%
$563K+233%$169K+38.5%$122K-67.3%$373K+33.2%
-$11.16M-16.6%-$9.57M-4.6%-$9.15M-3.6%-$8.83M-68.4%
$0
$915K$3.71M+323%$878K
-$11.14M-12.3%-$9.92M-74.0%-$5.7M+6.2%-$6.08M-135%
$4.47M
$0$0$0$0
$683K+12.5%$607K+640%$82K+110%$39K
$85K+1,317%$6K-96.6%$177K+453%
-$150K$624K
$936K+836%$100K-93.1%$1.45M+238%
-$199K$464K
$654K
$509K-8.5%$556K-3.5%$576K+5.3%$547K+9.4%
$760K+122%$342K-68.6%$1.09M+525%$174K+83.2%
$10.59M+12.7%$9.4M+4.1%$9.02M+6.7%$8.46M+70.3%
$6.04M+48.6%$4.07M+104%$1.99M-61.7%$5.2M+56.3%
$0
$1.6M-1.7%$1.63M-12.1%$1.85M+14.2%$1.62M+33.2%
$316K+1,336%$22K+10.0%$20K
$0$0$0$0
$683K+12.5%$607K+640%$82K+110%$39K
$28.79M+21.0%$23.79M+59.1%$14.95M+23.7%$12.09M+39.4%
$28.79M+21.0%$23.79M+59.1%$14.95M+23.7%$12.09M+39.4%

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

Compare these in charts →

Questions, answered.

How much cash does Red Violet generate?
Red Violet (RDVT) generated $30.9M in operating cash flow over the trailing twelve months.
What is Red Violet's free cash flow?
After $576.0K of capital expenditures, Red Violet's free cash flow was $30.4M over the trailing twelve months, up 23.9% year over year.
Where does Red Violet's cash flow data come from?
Every line is extracted from Red Violet'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.