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ASBPWAspire Biopharma Holdings, Inc.
$0.03$45596
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HomeStocksASBPWQuarterly Cash Flow

Aspire Biopharma Holdings, Inc. (ASBPW) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Aspire Biopharma Holdings, Inc. (ASBPW) quarterly cash flow statement — complete operating, investing & financing history

ASBPW Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-3.04M-927.84K-1.1M-1.14M-1.75M479.57M-533.8M-592.32K-2.26M-156.13K-124.92K-189.95K
Operating CF Margin %-10716.76%-21775.19%-56868.06%---------
Operating CF Growth %-73.48%-100.19%99.79%-92.52%22.5%307263.99%-427208.46%-211.83%-1141.02%-335.26%-167.94%-395.04%
Net Income-3.22M-4.71M-1.85M-1.98M-15.94M2.3M-537.02K-602.26K-2.47M-150.91K-69.26K1.81M
Depreciation & Amortization1.58M6M2.02M000000000
Stock-Based Compensation13.41K00014.13M0000000
Deferred Taxes000000000000
Other Non-Cash Items-4.58K-262.26M-1.59M260.87M384.52K477.07M-533.03M38.27K161.46K-251.7K-255.48K-2.1M
Working Capital Changes-1.41M260.04M318.36K-260.03M-326.3K206.33K-230.32K-28.33K45.65K246.49K199.82K98.3K
Change in Receivables01.03M00-1.03M21.97K000000
Change in Inventory-116.81K-253.16K0000000000
Change in Payables-139.53K-126.91K-1.32M01.12M0319.61K219.07K047.63K2.71K-102.06K
Cash from Investing00000038.26M13.78M00632.97K284.28M
Capital Expenditures000000-18.82K00000
CapEx % of Revenue------------
Acquisitions000000000000
Investments------------
Other Investing00000052.06M000632.97K284.28M
Cash from Financing7.89M-16.53K2.85M03.09M-492.48M492.48M-13.19M2.26M155.85K-632.97K-284.28M
Debt Issued (Net)-885.56K-5.94M2.85M03.09M25.5K-25.5K2.59M0155.85K00
Equity Issued (Net)8.95M-265.83K00265.83K13.78M0-13.78M00-284.92M-284.28M
Dividends Paid000000000000
Share Repurchases00000013.78M-13.78M0917.25K-632.97K-284.28M
Other Financing-173.91K6.19M00-265.83K-506.28M492.5M-2M2.26M0284.28M0
Net Change in Cash4.85M-944.37K1.74M-1.14M1.34M-12.91M-3.06M-27.68M0-55.94K-124.92K-189.95K
Free Cash Flow-3.04M-927.84K-1.1M-1.14M-1.75M2.56M25.5K-592.32K-2.26M-156.13K-124.92K-189.95K
FCF Margin %-10716.76%-21775.19%-56868.06%---------
FCF Growth %-73.48%-136.22%-4427.98%-92.52%22.5%1740.72%120.42%-211.83%-1141.02%-335.26%-167.94%-395.04%
FCF per Share-2.03-0.62-0.89-0.92-1.853.710.04-0.86-3.28-0.25-0.20-0.24
FCF Conversion (FCF/Net Income)0.94x0.20x0.60x0.58x0.11x-53.70x994.04x0.98x0.92x1.03x1.80x-0.10x
Interest Paid000000000000
Taxes Paid000000000000