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U.S. Gold Corp. USAU Cash Flow Statement

TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
-$19.61M-32.1%-$20.69M-103%-$18.31M-120%-$20.56M-198%-$14.85M-121%
$52.96K+64.2%$40.97K+26.5%$32.7K-0.1%$32.39K-1.3%$32.26K-1.5%
$639.71K-68.4%$2.36M+1,278%$2.29M+446%$2.15M+262%$2.03M+155%
$539.78K
-$191.99K
$58.67K+3.6%$58.66K+5.2%$58.37K+5.1%$57.49K+3.8%$56.61K+3.0%
-$58.67K-3.6%-$58.66K-5.2%-$58.37K-5.1%-$57.49K-3.8%-$56.61K-2.9%
-$14.85M-64.2%-$12.97M-79.4%-$10.99M-47.3%-$9.87M-39.5%-$9.04M-21.0%
$6.16K
-$6.16K
$43.73M$21.3M
$33.06K+10.0%$32.29K+10.0%$31.53K+8.9%$30.76K+10.0%$30.07K+10.0%
$52.96K+64.2%$40.97K+26.5%$32.7K-0.1%$32.39K-1.3%$32.26K-1.5%
-$58.67K-3.6%-$58.66K-5.2%-$58.37K-5.1%-$57.49K-3.8%-$56.61K-2.9%
-$191.99K
$89.08K-32.3%$115.65K+19.4%$147.23K+137%$166.31K+508%$131.57K
$58.67K+3.6%$58.66K+5.2%$58.37K+5.1%$57.49K+3.8%$56.61K+3.0%
$11.99M$10.61M$7.69M$2.33M
$4.49M$16.1M$7.71M
-$58.67K-3.6%-$58.66K-5.2%-$58.37K-5.1%-$57.49K-3.8%-$56.61K-2.9%
$225.68K+926%$42.5K+181%$35.66K-82.3%

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Questions, answered.

How much cash does U.S. Gold Corp. generate?
U.S. Gold Corp. (USAU) generated -$14.9M in operating cash flow over the trailing twelve months.
What is U.S. Gold Corp.'s free cash flow?
After $809.4K of capital expenditures, U.S. Gold Corp.'s free cash flow was -$13.6M over the trailing twelve months, down 11.7% year over year.
Where does U.S. Gold Corp.'s cash flow data come from?
Every line is extracted from U.S. Gold Corp.'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.