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SANUWAVE Health, Inc. SNWV Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$16.49M+148%$11.81M+136%-$9.19M-$40.04M-$34.4M
$1.06M+23.0%$974K+23.6%$852K+4.2%$783K-13.6%$861K-4.9%
$5.49M+120%$4.85M+220%$5.03M$3.62M$2.49M
$988K-78.0%$1.46M-73.5%$2.14M-64.5%$3.31M-46.9%$4.5M-31.2%
$228K$221K$192K
$2.34M+94.0%$2.3M+372%$1.94M+708%$796K$1.21M
$3.38M+38.9%$3.18M+24.8%$3M+31.5%
$2.5M+77.3%$1.97M-1.4%$1.37M+18.9%$1.22M+492%$1.41M+161%
$1.43M$596K
$5.79M$3.88M$1.3M$1.5M
$1.8M+235%$1.94M+296%$2.08M+2,349%$1.61M+4,238%$538K+460%
$3.44M+739%$3.43M+801%$2.92M+3,890%-$1.61M-9,931%-$538K-617%
$19K$0$10.66M$10.55M
$217K-3.6%$236K+52.3%
-$6.95M-211%-$5.59M-188%$2.13M+22.5%$6.14M+49.8%$6.26M+5.9%
$0$0
$2.28M-62.3%$1.72M-80.7%$6.34M+140%$6.04M+244%$6.04M+113%
$3.03M-32.1%$3.74M-13.2%$4.41M+6.0%$4.51M+45.3%$4.46M+121%
$27K+575%$21.25K$15.5K$9.75K
$988K-78.0%$1.46M-73.5%$2.14M-64.5%$3.31M-46.9%$4.5M-31.2%
$262K-22.9%$309K-13.4%$357K$455K$340K
$1.43M$596K
$0
$228K$221K$192K
$217K-3.6%$236K+52.3%
$0
$0-100%$10.35M-66.7%$20.69M0.0%$31.04M+200%
-$13.01M-138%-$8.11M-126%$11.59M$36.54M$33.81M
$430K
$27K+575%$21.25K$15.5K$9.75K
$3.99M$1.93M-$784K-$106K
$3.99M$1.93M-$784K-$106K

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Questions, answered.

How much cash does SANUWAVE Health, Inc. generate?
SANUWAVE Health, Inc. (SNWV) generated $5.8M in operating cash flow over the trailing twelve months.
What is SANUWAVE Health, Inc.'s free cash flow?
After $1.8M of capital expenditures, SANUWAVE Health, Inc.'s free cash flow was $4.0M over the trailing twelve months, up 281.2% year over year.
Where does SANUWAVE Health, Inc.'s cash flow data come from?
Every line is extracted from SANUWAVE Health, 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.