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FFAIWFaraday Future Intelligent Electric Inc.
$0.01$3M
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HomeStocksFFAIWQuarterly Cash Flow

Faraday Future Intelligent Electric Inc. (FFAIW) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Faraday Future Intelligent Electric Inc. (FFAIW) quarterly cash flow statement — complete operating, investing & financing history

FFAIW Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-31.47M-28.41M-35.56M-23.31M-20.3M-18.39M-22.7M-14.37M-14.72M-37.81M-79.66M-57.73M
Operating CF Margin %-6146.88%-22019.38%-96116.22%-43172.22%-6422.47%-7825.53%-252277.78%-4905.12%-735950%-16226.61%-14457.71%-
Operating CF Growth %-55.07%-54.46%-56.63%-62.21%-37.88%51.36%71.5%75.1%85.71%-35.27%33.62%48.8%
Net Income-38.86M-39.94M-222.19M-124.68M-10.28M-121.26M-77.69M-108.69M-48.22M-83.8M-78.05M-124.93M
Depreciation & Amortization9.09M9.1M20.14M20.52M18.08M18.58M18.04M18.94M18.48M17.79M14.27M14.11M
Stock-Based Compensation0658K1.29M897K301K6.13M1.59M116K542K261K0639K
Deferred Taxes0000000000019.96M
Other Non-Cash Items5.86M20.97M158.24M80.74M-34.17M82.61M39.2M65.86M-4.89M12.31M9.38M28.25M
Working Capital Changes-7.56M-19.19M6.95M-802K5.77M-4.45M-3.85M9.4M19.37M15.62M-25.26M4.23M
Change in Receivables-16K332K56K19K-664K0000005.84M
Change in Inventory2.03M-762K838K268K362K-682K1.47M680K4.8M986K-24.91M-5.84M
Change in Payables-3.76M-5M0-3.41M0-7.07M172K-5.47M3.56M-53K3.93M20.27M
Cash from Investing1.27M-23.73M5.28M-3.44M-1.57M-6.81M-301K-259K-12K-20.26M15.01M-8.98M
Capital Expenditures-495K-1.12M-1.52M-3.44M-1.57M-6.92M-301K-259K-99K-20.26M15.01M-8.98M
CapEx % of Revenue96.68%867.44%4102.7%6368.52%496.2%2945.11%3344.44%88.4%4950%8696.57%2723.41%-
Acquisitions0-9.9M8.78M000000000
Investments------------
Other Investing0-12.72M-1.98M00111K0087K000
Cash from Financing7.83M25.62M80.73M30.45M24.6M25.05M28.97M14.7M12.01M53.88M55.73M47.4M
Debt Issued (Net)7.83M15.44M80.12M33.01M22.82M13.76M30.09M14.87M12.04M27.92M47.21M47.4M
Equity Issued (Net)09.9M000000025.97M8.52M-5K
Dividends Paid000000000000
Share Repurchases000000000000
Other Financing0279K607K-2.56M1.78M11.29M-1.12M-164K-25K-14K00
Net Change in Cash-22.69M-27.98M49.68M3.77M2.32M-175K5.97M72K-2.72M-4.54M-10.83M-13.88M
Free Cash Flow-31.69M-29.52M-37.08M-26.75M-21.86M-25.31M-23.01M-14.63M-14.82M-58.07M-64.66M-66.71M
FCF Margin %-6190.04%-22886.82%-100218.92%-49540.74%-6918.67%-10770.64%-255622.22%-4993.52%-740900%-24923.18%-11734.3%-
FCF Growth %-44.96%-16.64%-61.18%-82.84%-47.54%56.41%64.42%78.07%87.64%-48.63%54.43%57.93%
FCF per Share-0.15-0.15-0.26-0.26-0.29-0.38-0.75-1.67-8.06-98.45-375.77-535.05
FCF Conversion (FCF/Net Income)0.81x0.85x0.16x0.19x1.97x0.15x0.29x0.13x0.31x0.45x1.02x0.46x
Interest Paid01.99M01.44M01.88M2.52M0465K000
Taxes Paid014K0000000000