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MOGOMogo Inc.
$0.87$21M
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HomeStocksMOGOCash Flow

Mogo Inc. (MOGO) Cash Flow Statement

13Y historyFree accessUpdated daily

While 2025Q3 showed a positive $3.0M in free cash flow, the historical volatility and frequent working capital drains, such as the $5.7M outflow in 2025Q2, suggest that self-sustaining cash generation remains elusive.

MOGO Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'24Dec'23Dec'22Dec'21Dec'20Dec'19Dec'18Dec'17Dec'16Dec'15Dec'14Dec'13Dec'12
Cash from Operations5.03M-1.27M-9.17M-27.01M-31.09M43.8M-15.21M-29.2M-21.36M-12.72M-56.97M-23.06M-5.21M-4.06M
Operating CF Margin %--1.79%-14.06%-39.17%-54.05%99.01%-25.43%-47.66%-43.87%-25.51%-130.87%-98.55%-86.63%-65.73%
Operating CF Growth %411.95%86.13%66.06%13.13%-170.97%388%47.92%-36.73%-67.91%77.67%-147.04%-342.23%-28.35%-
Net Income7.52M-13.68M-17.89M-165.68M-33.21M-13.45M-10.82M-22.02M-19.73M-17.09M-21.35M-13.07M-5.59M-3.34M
Depreciation & Amortization7.39M8.42M9.07M12.64M12.74M8.41M8.05M7.06M3.49M2.04M1.69M1.4M107.74K186.07K
Stock-Based Compensation1.2M1.94M2.48M8.71M11.68M2.04M1.73M1.32M1.34M1.07M1.19M311.29K79.14K0
Deferred Taxes-223K-341K-400K0-285K0017.34M15.41M18.11M15.54M8.09M00
Other Non-Cash Items456.65K18.77M18.54M135.85M-3.73M47.53M8.13M2.2M1.33M892.76K387.84K231.18K6.04M-904.18K
Working Capital Changes-12.58M-16.38M-20.97M-18.53M-18.28M-735K-22.29M-35.11M-23.2M-17.75M-54.43M-20.03M-5.84M0
Change in Receivables-12.03M-15.81M00-17.08M2.08M-22.21M0-24.93M-15.64M-57.26M000
Change in Inventory00000000000000
Change in Payables-8.39M-2.2M1.9M02.78M-3.33M-323K2.92M2.49M-429.7K1.43M283.33K00
Cash from Investing428.03K-2.79M-3.09M-9.15M-39.59M-4.97M-9.09M-11.05M-5.42M-7.34M-8.73M-2.31M-1.78M-1.14M
Capital Expenditures-517.59K-79K-214K-455K-464K-23K-647K-11.05M-5.42M-7.34M-8.73M-2.31M-164.65K-58.32K
CapEx % of Revenue0.75%0.11%0.33%0.66%0.81%0.05%1.08%18.04%11.14%14.71%20.05%9.87%2.74%0.94%
Acquisitions0000-31.56M000000000
Investments--------------
Other Investing-6.54M-3.17M-3.21M-8.69M-8.75M-4.8M-8.44M-7.64M-5.02M-6.4M-4.64M-1.99M-1.62M-1.08M
Cash from Financing-2.23M-3.52M-861K-3.08M125.86M-37.13M14.27M20.14M48.72M6.96M73.82M47.52M7.49M5.38M
Debt Issued (Net)-1.06M-3.41M261K-1.52M4.63M-39.7M1.14M19.82M24.17M5.06M28.01M20.07M7.49M0
Equity Issued (Net)-1.06M-104K-1.12M-1.63M113.33M00024.4M1.9M46.46M000
Dividends Paid00000000000000
Share Repurchases-1.06M-104K-1.12M-1.63M0000000000
Other Financing-104.83K0069K7.91M2.57M13.13M311K148K16.13K-647.71K27.45M05.38M
Net Change in Cash3.08M-7.6M-13.13M-38.49M55.64M1.7M-10.02M-20.12M21.94M-13.1M8.13M22.15M492.47K181.98K
Free Cash Flow3.17M-4.53M-12.59M-27.46M-39.06M38.99M-24.3M-40.26M-26.78M-20.06M-65.7M-25.37M-5.38M-4.12M
FCF Margin %4.58%-6.35%-19.3%-39.83%-67.9%88.11%-40.62%-65.7%-55.01%-40.22%-150.92%-108.42%-89.37%-66.67%
FCF Growth %147.54%64.05%54.17%29.68%-200.18%260.47%39.65%-50.33%-33.52%69.47%-158.96%-371.63%-30.53%-
FCF per Share0.13-0.19-0.51-1.08-1.864.05-2.85-5.32-4.37-3.30-15.01-9.92-2.42-1.85
FCF Conversion (FCF/Net Income)0.42x0.09x0.51x0.16x0.94x-3.26x1.41x1.33x1.08x0.74x2.67x1.76x0.93x1.21x
Interest Paid0007.91M0017.51M0000000
Taxes Paid00000000000000

Key Metrics

Growth RegimeDecelerating
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowMixed
Top Statement Risk

Persistent operating cash burn

Earnings Quality Remains Highly Disconnected

As reported in recent financial statements, the relationship between net income and operating cash flow is frequently inverse, with the company recording a net loss of $4.5M in 2025Q3 while simultaneously generating $3.0M in operating cash, highlighting a significant disconnect between accounting profits and actual cash generation.

The persistent divergence between net income and operating cash flow suggests that non-cash items and fair value adjustments are heavily distorting the bottom line. Investors should monitor whether this cash flow volatility is a structural feature of the venture portfolio or a temporary byproduct of the current business model transition.

Free Cash Flow Remains Highly Volatile

Based on the company's reported figures, free cash flow has exhibited extreme inconsistency over the last ten quarters, swinging from a negative $4.6M in 2024Q1 to a positive $3.0M in 2025Q3, which underscores the difficulty in achieving a predictable, self-sustaining cash flow trajectory for the firm.

The erratic nature of free cash flow suggests that the company's underlying operations are not yet optimized for consistent cash generation. This instability warrants further investigation into whether the recent positive FCF in 2025Q3 is a sustainable trend or merely a result of temporary working capital management.

Working Capital Dynamics Impede Liquidity

According to the provided cash flow data, the company has experienced consistent working capital outflows in nearly every quarter over the past two years, with a notable $5.7M drain in 2025Q2, indicating that operational growth is currently consuming rather than generating necessary liquid resources for the business.

These recurring working capital outflows suggest that the company is struggling to manage its cash conversion cycle effectively. The persistent need to fund these gaps may continue to pressure the firm's limited cash reserves until the business achieves a more efficient scale.

Capital Intensity Remains Relatively Low

As evidenced by the financial data, the company maintains a low capital intensity, with CapEx/Revenue ratios frequently remaining below 2.5%, suggesting that the firm's infrastructure-heavy model is not currently requiring massive, recurring capital expenditures to maintain its existing digital service delivery capabilities.

The relatively modest investment in property and equipment appears to reflect a focus on software-centric growth rather than physical asset expansion. While this preserves cash, it also implies that the company's competitive moat relies heavily on intangible development, which may require ongoing R&D spending not fully captured in CapEx.

MOGO — Frequently Asked Questions

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

How much cash does Mogo Inc. (MOGO) generate from operations?

Mogo Inc. (MOGO) generated $-1.3M in net cash from operating activities in 2024. This reflects the cash generated directly from core business operations.

What is Mogo Inc.'s free cash flow?

Mogo Inc. (MOGO) reported negative free cash flow of $4.5M in 2024, indicating capital requirements exceeded cash from operations.

What is Mogo Inc.'s capital expenditure (CapEx)?

Mogo Inc. (MOGO) spent $0.1M on capital expenditures in 2024. CapEx represents the cash invested in physical assets like property, plant, and equipment to maintain or grow the business.

How does Mogo Inc. distribute cash to shareholders?

In 2024, Mogo Inc. (MOGO) spent $0.1M on share repurchases. This shows the company's commitment to returning capital to its equity investors.