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SI-BONE, Inc. SIBN Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$4.33M-164%-$1.64M+64.0%-$4.57M+25.8%-$6.15M+6.0%-$6.54M-45.5%
$1.62M-1.3%$1.64M+10.2%$1.49M+8.6%$1.37M+7.0%$1.28M+5.4%
$6.03M+0.8%$5.98M-4.0%$6.23M-6.5%$6.66M-0.1%$6.66M+8.6%
$29K0.0%$29K0.0%$29K-3.3%$30K+3.4%$29K+11.5%
-$332K-79.5%-$185K+77.3%-$814K-139%-$341K-18.8%-$287K+54.2%
$90K+173%$33K-46.8%$62K-83.9%$384K+322%$91K-35.9%
$1.14M-66.3%$3.39M+51.8%$2.23M+209%-$2.05M-271%-$552K-122%
$2.04M$2.04M-54.9%$4.53M+20.1%$3.77M+77.3%
$2.1M+170%-$3.01M-554%$662K+279%-$369K-139%$952K+815%
-$5.64M-368%$2.11M-$4.43M-234%
-$777K-154%$1.45M+383%-$512K-187%$587K+219%-$494K-169%
-$2.36M-$4.91M
$1.08M-16.4%$1.29M-56.4%$2.96M+40.8%$2.1M+1.3%$2.07M-8.6%
-$6.23M-148%$13.03M+230%-$10.03M$10.63M+145%
$34K+104%-$779K-7,182%$11K-98.3%$665K+546%$103K
$34K-96.7%$1.03M+9,255%$11K-99.5%$2.23M+2,068%$103K
-$145K$0-100%$16K-42.9%$28K-93.3%$417K+158%
-$8.71M-155%$15.75M+306%-$7.66M-8.9%-$7.04M-213%$6.24M+32.1%
$564K-7.7%$611K-12.7%$700K-15.0%$824K-10.0%$916K-22.8%
$29K0.0%$29K0.0%$29K-3.3%$30K+3.4%$29K+11.5%
-$777K-154%$1.45M+383%-$512K-187%$587K+219%-$494K-169%
$388K+82.2%$213K-61.2%$549K-34.7%$841K+113%$394K-42.2%
$90K+173%$33K-46.8%$62K-83.9%$384K+322%$91K-35.9%
$0$0$0$0-100%
$525K$202K-75.2%$815K
$6.58M$0-100%
-$3.44M$0+100%-$620K+67.8%-$1.93M+72.4%-$6.98M-542%
-$3.44M$0+100%-$620K+67.8%-$1.93M+72.4%-$6.98M-542%

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Questions, answered.

How much cash does SI-BONE, Inc. generate?
SI-BONE, Inc. (SIBN) generated -$21.2M in operating cash flow over the trailing twelve months.
What is SI-BONE, Inc.'s free cash flow?
After $7.4M of capital expenditures, SI-BONE, Inc.'s free cash flow was -$6.0M over the trailing twelve months, up 70.5% year over year.
Where does SI-BONE, Inc.'s cash flow data come from?
Every line is extracted from SI-BONE, 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.