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Stoneridge SRI Cash Flow Statement

FY'25FY'24FY'23FY'22
-$102.84M-522%-$16.52M-$14.28M
$23.73M-9.2%$26.14M-2.3%$26.75M+0.1%$26.72M-4.0%
$4.8M+17.3%$4.09M+23.2%$3.32M-44.1%$5.94M-0.3%
$37.08M-$5.11M-900%
-$146K$241K-91.8%
-$17.34M+14.0%-$20.17M
-$31.32M-15.3%-$27.17M-181%$33.65M
-$8.78M+64.3%-$24.62M$18.49M
-$4.23M
$7.49M-$16.63M
-$1.29M-$857K-123%
$34.02M-28.7%$47.75M+865%$4.95M-27.3%$6.81M+117%
$21.85M-10.1%$24.3M-36.9%$38.5M+21.8%$31.61M+16.9%
$0$0-100%
$399K+3.6%$385K-79.4%$1.87M
-$21.82M+10.8%-$24.47M+33.8%-$36.98M-29.4%-$28.58M
$49M-63.8%$135.5M+15.4%$117.37M+438%$21.82M-76.3%
$73.19M-39.8%$121.5M+25.8%$96.57M+436%$18M-71.9%
$340K-57.2%$795K-53.8%$1.72M+117%$791K-70.3%
$0-100%$2.25M+365%$484K+2,589%
$11.12M-36.4%$17.49M
$7.52M$591K
$14.17M-8.4%$15.46M+18.8%$13.01M+78.3%$7.29M+20.4%
$9.96M+12.5%$8.85M+8.9%$8.13M+1.0%$8.06M+21.2%
$23.73M-9.2%$26.14M-2.3%$26.75M+0.1%$26.72M-4.0%
$0$0-100%
-$1.29M-$857K-123%
-$8.78M+64.3%-$24.62M$18.49M
-$4.23M
$7.49M-$16.63M
$0$0-100%
$399K+3.6%$385K-79.4%$1.87M
-$475K-80.6%-$263K-14.3%-$230K+58.1%-$549K-198%
$31.66M-11.5%$35.76M-8.2%$38.94M-14.9%
$19.88M-41.1%$33.75M-3.9%$35.1M-16.9%$42.25M-12.2%
$23.45M+168%-$34.25M

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Questions, answered.

How much cash does Stoneridge generate?
Stoneridge (SRI) generated $11.6M in operating cash flow over the trailing twelve months.
What is Stoneridge's free cash flow?
After $16.6M of capital expenditures, Stoneridge's free cash flow was $2.5M over the trailing twelve months, down 89.2% year over year.
Where does Stoneridge's cash flow data come from?
Every line is extracted from Stoneridge'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.