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ReposiTrak TRAK Cash Flow Statement

FY'25FY'24FY'23
$6.98M+17.1%$5.96M+6.6%$5.59M+39.6%
$1.25M+5.2%$1.19M+10.2%$1.08M+23.3%
$403.78K+10.0%$367.15K-6.0%$390.72K-7.4%
$8.42M+20.9%$6.96M-21.4%$8.86M+45.2%
$15.97K-78.2%$73.32K
-$100.71K+88.8%-$903.19K
$1.66M-3.8%$1.72M+21.7%$1.41M+141%
$200.04K$1.31M-78.7%
$362.44K
-$5.01M+12.2%-$5.7M-5.0%-$5.43M+45.9%
$3.41M+194%$1.16M-54.0%$2.53M
$8.4M+22.0%$6.89M-21.0%$8.73M+44.2%

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Questions, answered.

How much cash does ReposiTrak generate?
ReposiTrak (TRAK) generated $7.5M in operating cash flow over the trailing twelve months.
What is ReposiTrak's free cash flow?
ReposiTrak's free cash flow was $7.5M over the trailing twelve months, down 14.3% year over year.
Where does ReposiTrak's cash flow data come from?
Every line is extracted from ReposiTrak'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.