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Sanara MedTech Inc. SMTI Cash Flow Statement

FY'25FY'24FY'23FY'22
-$37.57M-279%-$9.91M-123%-$4.44M+45.1%-$8.09M-1.2%
$3.95M-19.8%$4.92M+34.0%$3.68M+55.0%$2.37M+297%
$5.15M+16.2%$4.44M+28.9%$3.44M+27.4%$2.7M+1.3%
$509.23K-18.5%$624.45K+192%$214.06K-23.5%$280K+443%
$4.51M+147%$1.82M
$1.79M+224%-$1.44M-187%$1.66M+222%$517.27K-55.1%
$814K$547.19K
$515.5K$159.59K
$525.37K-4.0%$547.3K+59.6%$342.97K+30.2%$263.52K+50.6%
-$952.47K
-$526.91K-4.8%-$502.89K-99.3%-$252.37K
$6.79M-$5.55M-15.4%
$4.63M+2,147%$205.85K-22.4%$265.25K+80.4%$147.02K-14.5%
$1.55K
$8.26M
-$14.97M-126%-$6.61M+35.2%-$10.21M-191%-$3.51M+33.6%
$9.69M
$18.57M+88.9%$9.83M+1,666%-$627.35K
$11.13M+379%-$3.99M+58.9%-$9.69M
$3.35M+112%$1.58M+457%$283.95K+137,739%$206
$40.59K
$148.18K-29.8%$210.93K
-$21.98K
$279.91K+33.6%$209.5K
$780.31K
-$952.47K
-$5.91K+87.4%-$46.89K-$126.81K
-$40.57K-$90.15K-581%$18.76K-76.5%
$2.13M-31.4%$3.1M+3,906%-$81.51K
-$526.91K-4.8%-$502.89K-99.3%-$252.37K
$515.5K$159.59K
$582.05K+11.6%$521.76K+28.3%$406.81K-24.7%$540.09K+114%
$2.2M
$509.23K-18.5%$624.45K+192%$214.06K-23.5%$280K+443%
$8.26M
$1.55K
$937K-53.7%$2.02M
$9.69M
-$526.91K-4.8%-$502.89K-99.3%-$252.37K
$40.59K
-$5.7M-14.3%

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Questions, answered.

How much cash does Sanara MedTech Inc. generate?
Sanara MedTech Inc. (SMTI) generated $6.3M in operating cash flow over the trailing twelve months.
What is Sanara MedTech Inc.'s free cash flow?
After $2.9M of capital expenditures, Sanara MedTech Inc.'s free cash flow was -$3.8M over the trailing twelve months, up 36.7% year over year.
Where does Sanara MedTech Inc.'s cash flow data come from?
Every line is extracted from Sanara MedTech 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.