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Venu Holding VENU Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$45.79M-25.2%-$50.78M-54.1%-$48.36M-68.2%-$43.6M-61.3%-$36.57M-50.3%
$7.18M+62.2%$6.18M+69.0%$5.42M+85.7%$5.19M+118%$4.43M
$311.2K$249.18K
$37.62M$17.85M$18.21M
$9.07M$24.07M
$1.71M$1.7M
$1.01M-79.4%$1.32M-78.9%$2.34M-57.2%$4.3M+21.1%$4.9M+47.4%
$531.25K
-$735.91K-65.9%-$471.16K-1.1%-$509.01K-44.7%-$415.72K-$443.57K
$4.12M+261%$3.28M
$8.17M$7.65M
$185.47M+117%$141.66M+95.4%$87.3M+18.6%$78.44M$85.59M
-$175.25M-100%-$133.43M-84.3%-$86.67M-17.9%-$80.44M-$87.51M
$467.08K+45.6%$382.75K+22.2%$326.78K+4.6%$324.17K$320.77K
$915.09K+70.4%$915.81K+75.1%
$199.02M+162%$129.12M+49.4%$123.82M+72.6%$88.96M$75.94M
$723.38K+61.0%$621.39K+52.9%$500.58K+36.2%$446.96K$449.2K
$4.12M+261%$3.28M
$531.25K
-$3.88M
-$735.91K-65.9%-$471.16K-1.1%-$509.01K-44.7%-$415.72K-$443.57K
$1.71M$1.7M
$1.17M$610.45K$829.2K
$868.35K+85.7%$532.19K+6.7%$507.14K+29.2%$414.91K$467.68K
$7.6M
$6.4M
-$735.91K-65.9%-$471.16K-1.1%-$509.01K-44.7%-$415.72K-$443.57K
$16.5M+3,399%$12.49M$8.49M$4.48M
-$177.3M-101%-$134.01M-95.0%-$102.06M-74.1%-$92.28M-$88.15M
-$177.3M-101%-$134.01M-95.0%-$102.06M-74.1%-$92.28M-$88.15M

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Questions, answered.

How much cash does Venu Holding generate?
Venu Holding (VENU) generated $8.2M in operating cash flow over the trailing twelve months.
What is Venu Holding's free cash flow?
After $185.5M of capital expenditures, Venu Holding's free cash flow was -$177.3M over the trailing twelve months, down 101.1% year over year.
Where does Venu Holding's cash flow data come from?
Every line is extracted from Venu Holding'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.