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MOGOMogo Inc.
$0.87$21M
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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P/E HistoryRevenue HistoryEarnings HistoryDividend HistoryTotal Return
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HomeStocksMOGOQuarterly Cash Flow

Mogo Inc. (MOGO) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Mogo Inc. (MOGO) quarterly cash flow statement — complete operating, investing & financing history

MOGO Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21Q4'20
Cash from Operations3M934K560K538K1.53M528K-3.87M-2.2M-4.15M-1.81M-1M-1.35M-5.62M-8.73M-11.32M-8.11M-8.91M-8.85M-3.78M1.18M
Operating CF Margin %17.69%5.52%3.23%2.98%8.65%3.01%-21.57%-12.82%-25.67%-11.33%-6.3%-7.89%-32.54%-50.47%-65.6%-47.72%-57.7%-64.74%-33.13%11.82%
Operating CF Growth %96.11%76.89%114.49%124.45%136.83%129.12%-286.21%-62.72%26.03%79.22%91.16%83.33%36.96%1.37%-199.21%-786.13%-271.13%-207.51%-112.96%-29.79%
Net Income-3.24M13.51M-11.87M10.39M-8.11M-12.35M-3.61M8.51M-9.5M-10.01M-6.88M-74.94M-20M-51.87M-18.87M-29.62M-9.81M9.04M-2.82M-2.85M
Depreciation & Amortization1.41M2.03M1.95M1.99M1.97M2.08M2.38M2.38M2.1M2.2M2.37M3.17M3.14M3.15M3.18M3.68M3.67M2.97M2.42M1.61M
Stock-Based Compensation0507K475K214K579K584K561K580K804K801K293K835K1.69M2.57M3.61M3.77M2.88M4.06M557K313K
Deferred Taxes0-40K-99K-84K-80K-92K-85K00-30K-167K0-90K0-76K00000
Other Non-Cash Items5.1M-9.36M12.82M-8.1M10.08M12.9M3.9M-7.7M11.45M9.65M5.56M69.41M14.97M44.69M7.8M19.47M-41K-20.55M-2.48M3.43M
Working Capital Changes-271.4K-5.71M-2.72M-3.88M-2.9M-2.59M-7.01M-5.97M-9.01M-4.43M-2.18M179K-5.34M-7.26M-6.96M-5.41M-5.6M-4.37M-1.46M-1.32M
Change in Receivables0-5.24M-3.21M-3.58M0-3.25M-5.68M00-3.94M-1.07M0-4.15M0-4.18M-6.46M-6.56M-3.04M-1.02M0
Change in Inventory00000000000000000000
Change in Payables-1.02M392K-4.81M-2.95M877K-769K640K00-1.08M457K0-1.03M0178K2.48M1.5M-1.05M-142K0
Cash from Investing835.03K-1.6M1.99M-798K-314K-161K-1.52M-982K-511K-702K-891K-655K-1.88M-2.18M-4.43M-2.96M-5.24M-31.36M-25K-1.38M
Capital Expenditures-418.59K-24K-4K-71K-8K-853K-704K-206K0-702K-8K-49K-64K-65K-277K-74K-217K-73K-98K0
CapEx % of Revenue2.47%0.14%0.02%0.39%0.05%4.86%3.93%1.2%-4.39%0.05%0.29%0.37%0.38%1.61%0.44%1.41%0.53%0.86%-
Acquisitions000000000000000150K-1.13M-32.68M2.1M0
Investments--------------------
Other Investing-4.79M-574K-454K-727K-890K00-776K-511K0-883K-606K-1.81M-2.12M-2.38M-2.4M-2.88M-1.54M-1.93M-1.38M
Cash from Financing1.03M-1.03M-1.25M-976K-1.46M-2.15M1.07M1.58M1.27M-703K-3.01M-2.72M-712K46K305K34.88M4.05M295K86.64M2.46M
Debt Issued (Net)1.13M28K-1.25M-976K-1.46M-2.05M1.07M2.02M1.6M-352K-3.01M-2.04M-712K927K305K2.46M3.69M-706K-811K-28K
Equity Issued (Net)718-1.06M000-104K0-442K-329K-351K0-677K0-955K032.4M109K-469K81.28M0
Dividends Paid00000000000000000000
Share Repurchases718-1.06M000-104K0-442K-329K-351K0-677K0-955K000-469K00
Other Financing-104.83K00000000000074K024K252K1.47M6.16M2.49M
Net Change in Cash4.73M-1.7M1.29M-1.24M-258K-1.78M-4.33M-1.58M-3.38M-3.25M-4.92M-4.76M-8.44M-10.02M-15.27M23.63M-9.83M-40.06M83.35M2.26M
Free Cash Flow2.99M336K102K-260K632K-325K-4.57M-2.41M-4.15M-2.52M-1.89M-1.4M-7.49M-8.79M-13.98M-10.58M-12.01M-9.96M-5.06M1.18M
FCF Margin %17.64%1.98%0.59%-1.44%3.57%-1.85%-25.5%-14.02%-25.67%-15.71%-11.92%-8.17%-43.43%-50.84%-81.02%-62.26%-77.79%-72.87%-44.34%11.82%
FCF Growth %373.52%203.38%102.23%89.19%115.21%87.08%-141.54%-71.73%44.57%71.39%86.47%86.76%37.6%11.72%-176.07%-995.18%-375.02%-235.54%-118.54%-28.68%
FCF per Share0.130.010.00-0.010.03-0.01-0.18-0.10-0.17-0.10-0.08-0.06-0.30-0.34-0.55-0.44-0.52-0.44-0.330.12
FCF Conversion (FCF/Net Income)-0.67x0.07x-0.05x0.05x-0.19x-0.04x1.07x-0.26x0.44x0.18x0.15x0.02x0.28x0.17x0.60x0.27x0.91x-0.98x1.34x-0.41x
Interest Paid00000002.7M2.61M002.44M01.89M000001.7M
Taxes Paid00000000000000000000