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SoundThinking, Inc. SSTI Cash Flow Statement

FY'25FY'24FY'23FY'22
-$9.42M-2.6%-$9.18M
$5.99M-3.5%$6.21M-7.5%$6.72M+5.0%$6.4M+10.4%
$11.45M-5.6%$12.13M+21.5%$9.98M+20.5%$8.28M+41.0%
-$2K-101%$135K$685K+1,270%
$599K
$1.74M$947K-40.4%
$11.63M+443%
$3.89M-1.0%$3.93M+0.1%$3.93M+39.6%$2.81M+152%
$9.3M-59.7%$23.08M+111%$10.95M-10.1%$12.18M+24.0%
$4.45M-29.7%$6.33M+25.2%$5.05M-53.7%$10.92M+39.2%
-$4.46M+30.7%-$6.43M+61.0%-$16.49M-6.1%-$15.54M-97.1%
$2.97M$5.6M
$31K$150K-72.1%$538K-40.1%
-$2.55M$795K
$120K
$2.49M
$281K-28.7%$394K+161%$151K
$3.89M-1.0%$3.93M+0.1%$3.93M+39.6%$2.81M+152%
$5.99M-3.5%$6.21M-7.5%$6.72M+5.0%$6.4M+10.4%
-$5.06M
$1.74M$947K-40.4%
$435K-28.1%$605K$0
$599K-$74K
$105K-76.1%$440K
-$3M-143%$7M
$120K
$2.99M-75.9%$12.4M
$11.63M+443%
$495K
$270K-63.4%$737K-17.7%$896K
$4.85M$1.27M-36.0%
$4.85M$1.27M-36.0%

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Questions, answered.

How much cash does SoundThinking, Inc. generate?
SoundThinking, Inc. (SSTI) generated $9.6M in operating cash flow over the trailing twelve months.
What is SoundThinking, Inc.'s free cash flow?
After $5.3M of capital expenditures, SoundThinking, Inc.'s free cash flow was $4.4M over the trailing twelve months, down 74.4% year over year.
Where does SoundThinking, Inc.'s cash flow data come from?
Every line is extracted from SoundThinking, 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.