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NEWTHNewtekOne, Inc.
$25.25$656M
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HomeStocksNEWTHQuarterly Cash Flow

NewtekOne, Inc. (NEWTH) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

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

NEWTH Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-90.91M23.38M-167.32M-199.81M-60.7M-91.59M-25.67M-26.61M-38.67M-52.53M101.38M-86.49M
Operating CF Margin %-124.04%31.11%-176.03%-226.12%-70.72%-98.6%-32.62%-35.16%-54.02%-78.57%161.06%-139.5%
Operating CF Growth %-49.75%125.53%-551.85%-650.98%-56.96%-74.37%-125.32%69.24%66.76%-180.6%262.43%-20.7%
Net Income13.4M19.54M17.9M13.7M9.37M18.32M11.93M10.95M9.65M18.78M10.92M7.01M
Depreciation & Amortization36K-2.31M129K274K146K214K517K521K532K367K730K750K
Stock-Based Compensation0-5.84M618K1.56M1.83M1.8M918K662K681K799K592K684K
Deferred Taxes0-340K5.54M-5.23M2.79M-1.07M8.19M774K2.51M4.13M-6.19M2.38M
Other Non-Cash Items-30.1M-4.04M-199.3M-204.91M-114.81M-112.62M-58.56M-13.15M-64.01M-79.23M34.22M-11.13M
Working Capital Changes-74.25M16.38M7.8M-5.21M39.97M1.75M11.34M-26.36M11.96M2.61M61.1M-86.19M
Change in Receivables-51.07M31K19.24M-13.62M46.38M9.58M17.7M-23.04M5.34M-1.82M55.9M-78.43M
Change in Inventory000000000000
Change in Payables5.62M4.01M-5.85M177K-1.18M3.01M-6.08M4.28M4.96M1.53M-1.56M-1.5M
Cash from Investing-251.82M-226.21M-69.8M-44.83M-79.25M-86.22M-25.07M-24.43M-43.8M-49.22M-63.67M-50.65M
Capital Expenditures-89K0-5K-54K-37K-64K-247K-71K-57K-165K-164K36K
CapEx % of Revenue0.12%0.01%0.01%0.06%0.04%0.07%0.31%0.09%0.08%0.25%0.26%0.06%
Acquisitions------------
Investments63.63M2.22B1.98B1.7B1.62B1.42B80.28M127.38M77.1M77.39M959.84M905.84M
Other Investing-87.95M-191.65M-56.05M-44.72M-93.25M-94.56M-45.01M254.86M-36.53M-35.36M-50.96M-48.44M
Cash from Financing435.45M296.18M240.76M163.8M52.71M368.76M36.29M94.17M61.68M29.49M-70.34M198.92M
Debt Issued (Net)------------
Equity Issued (Net)70K-1.25M5.09M-58K0-402K-1K13.93M00-73K0
Dividends Paid-6.48M-11.87M-5.71M-5.24M-5.23M-5.24M-5.23M-5.02M-4.77M-4.77M-4.77M-4.61M
Share Repurchases0-1.32M0-167K0-402K0000-86K0
Other Financing272.64M-1.03M149.07M117.21M-7.71M322.69M36.2M94.38M49.07M29.64M-17.05M202.73M
Net Change in Cash92.72M93.36M3.64M-80.84M-87.24M190.95M-15.92M43.13M-20.8M-39.69M-32.64M59.19M
Free Cash Flow-91M23.37M-167.32M-199.87M-60.74M-91.66M-25.91M-26.68M-38.73M-52.69M101.21M-86.46M
FCF Margin %-124.16%31.09%-176.03%-226.18%-70.76%-98.66%-32.94%-35.25%-54.1%-78.81%160.8%-139.45%
FCF Growth %-49.81%125.5%-545.66%-649.19%-56.83%-73.95%-125.6%69.14%66.76%-180.85%262.17%-20.63%
FCF per Share-2.920.91-6.52-7.79-2.38-3.49-1.05-1.08-1.59-2.164.10-3.38
FCF Conversion (FCF/Net Income)-6.78x1.20x-9.35x-14.58x-6.48x-5.00x-2.15x-2.43x-4.01x-2.80x9.28x-12.34x
Interest Paid025.58M25.66M21.45M24.79M19.62M22.08M18.41M19.08M018.66M31.01M
Taxes Paid01.8M9.77M923K4K-7.21M3.88M3.26M73K0506K-2.49M