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Tiptree Inc. TIPT Cash Flow Statement

FY'25FY'24FY'23FY'22
$34.93M-34.6%$53.37M+283%$13.95M
$22.97M-6.0%
$6.23M-35.8%$9.71M-12.8%
-$6.58M-25.7%-$5.24M+12.2%-$5.97M-113%$47.55M+168%
$0$0-100%$1.34M-16.6%
-$1.25M+63.4%-$3.41M+86.7%-$25.65M-214%-$8.16M-215%
-$2.93M+45.2%-$5.35M
$1.92M+323%$453K+206%$148K-87.0%$1.14M
-$7.61M-741%-$905K+82.9%-$5.29M-108%$69.98M-53.8%
$168.22M-30.1%$240.76M$463.07M+127%
$1.2B-16.3%
$1.26B+7.6%
-$202.03M+37.5%-$322.99M
$18.31M$7.78M+43.7%
$0$0-100%$2.37B-42.1%
$0$0-$5.59M-58.3%
$2.35M$0$0-100%$1.38M+1,112%
$6.29M
$1.53M
-$18.89M+75.2%-$76.3M$355.57M+8,185%
$85.71M+62.7%$52.69M
$0$0-100%$1.34M-16.6%
$265.8M+221%$82.79M
-$7.61M-741%-$905K+82.9%-$5.29M-108%$69.98M-53.8%
$85.71M+62.7%$52.69M
-$1.25M+63.4%-$3.41M+86.7%-$25.65M-214%-$8.16M-215%
-$381.12M-109%-$182.08M
$1.2B-16.3%
$25.85M-79.6%$126.42M
-$19.56M-50.4%-$13.01M
$2.35M$0$0-100%$1.38M+1,112%
-$684K
$0$0-$5.59M-58.3%
$0$0-100%$2.67B-33.2%
$53.47M+250%$15.29M+201%-$15.18M
$168.22M-30.1%$240.72M$452.35M+124%
$168.22M-30.1%$240.72M$452.35M+124%

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Questions, answered.

How much cash does Tiptree Inc. generate?
Tiptree Inc. (TIPT) generated $183.4M in operating cash flow over the trailing twelve months.
Where does Tiptree Inc.'s cash flow data come from?
Every line is extracted from Tiptree 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.