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MIGIMawson Infrastructure Group, Inc.
$5.50$5M
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HomeStocksMIGICash Flow

Mawson Infrastructure Group, Inc. (MIGI) Cash Flow Statement

19Y historyFree accessUpdated daily

A severe disconnect between earnings and cash generation persists, highlighted by a $17.1M operating cash outflow in 2026Q1 despite reporting a net income of $874.7K.

MIGI Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'25Dec'24Dec'23Dec'22Dec'21Dec'20Dec'19Dec'18Dec'17Dec'16Dec'15Dec'14Dec'13Dec'12Dec'10Dec'09Dec'08Dec'07Dec'06
Cash from Operations-23.52M-6.9M3.56M-2.55M14.26M22.95M-185.1K-2.06M-2.21M-1.36M-874K33K-413K-814K-2.71M-12.44K-15.59K15.85K-17.5K-251.59K
Operating CF Margin %--17.36%6.01%-5.84%16.89%52.33%-4.16%-------------
Operating CF Growth %-4269%-293.67%239.95%-117.86%-37.89%12500.95%91.03%6.52%-62.71%-55.26%-2748.48%107.99%49.26%70.01%-21718.47%20.2%-198.37%190.55%93.04%-
Net Income-22.47M-23.66M-46.34M-60.42M-54.04M-45.46M-5.06M-3.45M-3.28M-2.97M-1.14M-1.48M-1.2M-2.84M-1.86M-21.98K3.65K-27.64K-18.55K-217.63K
Depreciation & Amortization6.61M6.92M18.84M39.52M64.82M14.11M4.62M1K2K1K1K1K01K000000
Stock-Based Compensation7.3M8.98M14.06M10.83M3.01M22.49M0818K1.29M19K65K22K25K598K220K00000
Deferred Taxes0000025.15M01.5M1.74M314K0000000000
Other Non-Cash Items-3.44M4.91M15.92M135.14K-15.43M6.64M-797.63K-1.21M-2.09M1.17M100K0-7K-437K-643K00000
Working Capital Changes-11.26M-4.05M1.08M7.39M15.89M25.23K1.05M275K131K103K99K1.49M764K1.86M-428K9.54K-19.23K43.48K1.05K-33.96K
Change in Receivables-1.85M4.48M-3.06M0-605.48K-4.99M35.26K-571.2K00000238K-255K00000
Change in Inventory0000000571.2K000000000000
Change in Payables006.19M005.86M587K63K-9K30K-6K0-17K00-350310.74K0-36.06K
Cash from Investing-144.72K-109.69K-1.12M10.74M-32.54M-128.25M-5.54M81K253K-4K-1K00509K000000
Capital Expenditures-152.33K-148.95K-1.96M-5.35M-82.03M-128.17M-5.51M-11.69M-5K-4K-1K-3K0-2K000000
CapEx % of Revenue0.5%0.37%3.3%12.28%97.21%292.22%123.8%-------------
Acquisitions0-------------------
Investments002.88M106.81K5.33M326.8K16.69K10K32K323K0658K794K1.18M1.23M00000
Other Investing7.61K39.26K838.86K9.17M49.33M694.18K-835.19K11.69M0-298K03K00000000
Cash from Financing20.64M14.19M-830.07K-4.65M13.99M109.85M6.23M-360K4.91M1.54M473K000012.44K15.59K-15.85K17.5K24K
Debt Issued (Net)0-------------------
Equity Issued (Net)6.41M14.64M06.19M6.7M85.1M6.34M550K3.92M966K0000000000
Dividends Paid0000000-104K-292K00000000000
Share Repurchases00000000000000000000
Other Financing14.4M00-380.95K-793.17K-6.12M-124.96K-46K1.29M-135K-152K000000000
Net Change in Cash-3.03M7.18M1.61M3.53M-4.52M4.35M533.52K-2.42M2.96M187K-395K33K-413K-305K-2.71M0000-227.59K
Free Cash Flow-23.67M-7.05M1.6M-7.9M-67.78M-105.22M-5.7M-13.75M-2.21M-1.36M-875K30K-413K-816K-2.71M-12.44K-15.59K15.85K-17.5K-251.59K
FCF Margin %-76.96%-17.73%2.71%-18.13%-80.32%-239.89%-128.21%-------------
FCF Growth %-2980.68%-539.25%120.32%88.35%35.59%-1744.65%58.53%-521.52%-62.6%-55.54%-3016.67%107.26%49.39%69.93%-21718.47%20.2%-198.37%190.55%93.04%-
FCF per Share-4.47-5.991.80-10.09-106.77-224.25-96.43-1569.05-470.05-474.88-347.3682.64-1137.74-2247.93-7160.95-141.35-177.14180.08-198.86-2859.00
FCF Conversion (FCF/Net Income)1.05x0.29x-0.08x0.04x-0.27x-0.51x0.04x0.60x0.67x0.46x0.77x-0.02x0.35x0.29x1.46x0.57x-4.28x-0.57x0.94x-25.26x
Interest Paid11.59K16.02K18.53K05.88M000000000000000
Taxes Paid270.19K25.91K896.25K00000000000000000

Key Metrics

Growth RegimeContracting
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowBurning
Top Statement Risk

Liquidity exhaustion and dilution

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2026Q1)

Persistent Disconnect Between Earnings Quality

As evidenced by the 2026Q1 data, the company reported a net income of $874.7K while simultaneously suffering an operating cash outflow of $17.1M, highlighting a severe divergence that suggests reported profits are not translating into actual cash generation for the business.

The extreme negative OCF/NI ratio of -19.59 in the most recent quarter indicates that accounting earnings are heavily influenced by non-cash items or timing differences that fail to reflect the underlying cash burn. Investors should monitor this gap, as it suggests that the company's operational model is currently unable to sustain itself through internal cash flow.

Negative Free Cash Flow Trajectory

Based on historical quarterly filings, the company's free cash flow has remained consistently negative, with a notable $17.1M outflow in 2026Q1, underscoring a structural inability to cover operational and capital requirements through core business activities during the current industry cycle.

The FCF margin of -3.6% in 2026Q1, following periods of even deeper contraction, points to a business model that is fundamentally cash-consumptive. This trajectory suggests that without a significant shift in operational efficiency or power cost management, the company will continue to rely on external financing to bridge its funding gap.

Working Capital Volatility Strains Liquidity

According to reported financial statements, working capital changes have been highly erratic, including a significant $10.8M outflow in 2026Q1, which indicates that the company is struggling to manage its cash conversion cycle effectively amidst its current operational challenges.

The frequent swings in working capital suggest that the company may be facing difficulties in managing payables or inventory levels, further exacerbating the pressure on its limited cash reserves. This volatility warrants further investigation into whether these outflows are temporary timing issues or indicative of deeper structural inefficiencies in the company's supply chain and vendor relationships.

Hidden Cash Burdens and SBC

Analysis of the cash flow statement reveals that stock-based compensation, such as the $7.3M charge in 2025Q4, frequently masks the true extent of the company's cash burn, effectively diluting shareholders while the core business fails to generate positive operating cash flow.

The reliance on non-cash adjustments to reconcile net income to operating cash flow obscures the reality that the company is consistently losing cash on an operational basis. Investors should be wary of these adjustments, as they suggest that the company's reported financial health is significantly weaker than the headline figures might otherwise imply.

MIGI — Frequently Asked Questions

Quick answers to the most common questions about buying MIGI stock.

How much cash does Mawson Infrastructure Group, Inc. (MIGI) generate from operations?

Mawson Infrastructure Group, Inc. (MIGI) generated $-6.9M in net cash from operating activities in 2025. This reflects the cash generated directly from core business operations.

What is Mawson Infrastructure Group, Inc.'s free cash flow?

Mawson Infrastructure Group, Inc. (MIGI) reported negative free cash flow of $7.0M in 2025, indicating capital requirements exceeded cash from operations.

What is Mawson Infrastructure Group, Inc.'s capital expenditure (CapEx)?

Mawson Infrastructure Group, Inc. (MIGI) spent $0.1M on capital expenditures in 2025. CapEx represents the cash invested in physical assets like property, plant, and equipment to maintain or grow the business.