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STRDMicroStrategy Incorporated 10.00% Series A Perpetual Stride Preferred Stock
$53.48$17.9B
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HomeStocksSTRDQuarterly Cash Flow

MicroStrategy Incorporated 10.00% Series A Perpetual Stride Preferred Stock (STRD) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

MicroStrategy Incorporated 10.00% Series A Perpetual Stride Preferred Stock (STRD) quarterly cash flow statement — complete operating, investing & financing history

STRD Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24
Cash from Operations13.99M0-8.31M-34.91M-2.39M-17.32M-40.97M-23.33M28.59M
Operating CF Margin %11.25%--6.46%-30.49%-2.15%-14.35%-35.29%-20.93%24.81%
Operating CF Growth %685.56%100%79.71%-49.65%-108.36%----
Net Income-12.54B-12.44B-5.8B10.02B-4.22B-670.81M-340.17M-102.56M-53.12M
Depreciation & Amortization8.79M0-15.69M9.12M6.58M5.13M5.98M3.65M3.05M
Stock-Based Compensation13.17M0-27.56M15.74M11.82M19.34M19.38M20.62M17.79M
Deferred Taxes-1.93B0-2.25B3.98B-1.73B-355.81M-141.9M-116.97M-161.17M
Other Non-Cash Items14.46B12.44B8.08B-14.04B5.91B1.01B441.26M185.9M196.3M
Working Capital Changes-3.69M013.66M-24.32M10.66M-28.96M-25.51M-13.98M25.73M
Change in Receivables1.21M0-14.96M4.42M10.54M-21.69M7.25M7.93M12.19M
Change in Inventory000000000
Change in Payables-802K03.25M-1.82M-1.43M9.46M-154K-6.16M-2M
Cash from Investing-7.25B0-4.96B-6.79B-7.67B-18.08B-1.58B-794.55M-1.64B
Capital Expenditures-952K026.83M-18.09M-8.74M-10.78M-426K-723K-1.54M
CapEx % of Revenue0.77%-20.85%15.8%7.87%8.93%0.37%0.65%1.34%
Acquisitions---------
Investments6.9M00000000
Other Investing-7.25B0-4.99B-6.77B-7.66B-18.06B-1.58B-793.83M-1.64B
Cash from Financing7.15B04.97B6.81B7.69B18.09B1.59B803.43M1.65B
Debt Issued (Net)---------
Equity Issued (Net)7.39B0-9.66B6.87B5.74B15.12B1.11B18.48M137.76M
Dividends Paid-229.53M0-58.14M-48.95M-9.19M0000
Share Repurchases000000000
Other Financing-10.91M014.69B-24.1M-40.25M-29.74M-8.66M-930K107.02M
Net Change in Cash-94.1M-56.2M4.07M-10.13M22.36M-8.31M-20.6M-14.93M35.05M
Free Cash Flow-7.24B014.45B-6.82B-7.67B-18.09B-1.62B-817.88M-1.61B
FCF Margin %-5823.08%-11227.97%-5958.89%-6908.31%-14990.15%-1392.65%-733.91%-1398.98%
FCF Growth %5.67%100%993.89%-734.13%-375.9%----
FCF per Share-21.68-45.81-22.24-29.92-81.64-8.19-4.58-9.38
FCF Conversion (FCF/Net Income)-0.00x--0.00x-0.00x0.00x0.03x0.12x0.23x-0.54x
Interest Paid000000000
Taxes Paid000000000