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Cloudastructure Inc

CSAI
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5.800USD
-0.143-2.41%
Close 07-31 16:00ETQuotes delayed by 15 min
4.83MMarket Cap
LossP/E TTM

CSAI Cash Flow Statement

You can access the annual and quarterly cash flow statements of Cloudastructure Inc to evaluate its financial soundness and stability.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-1.17%-2.51M
-3325.64%-1.26M
-29.85%-1.35M
-49.96%-1.82M
-134.56%-2.48M
103.56%39.00K
20.21%-1.04M
16.67%-1.22M
42.94%-1.06M
---1.10M
---1.31M
---1.46M
---1.86M
Net income from continuing operations
-10.39%-2.77M
-47.31%-1.83M
-19.93%-2.06M
-10.75%-2.05M
-46.36%-2.51M
64.03%-1.25M
-51.36%-1.72M
16.20%-1.85M
21.92%-1.72M
---3.46M
---1.14M
---2.21M
---2.20M
Operating gains losses
60.00%24.00K
70.59%29.00K
64.71%28.00K
-70.18%17.00K
--15.00K
-60.47%17.00K
-69.64%17.00K
3.64%57.00K
----
--43.00K
--56.00K
--55.00K
--55.00K
Other non-cash items
----
0.00%-1.00K
-400.00%-3.00K
0.00%1.00K
----
---1.00K
--1.00K
--1.00K
---20.00K
--0.00
--0.00
----
----
Change in working capital
50.24%-305.00K
-93.85%34.00K
-66.04%54.00K
-984.62%-345.00K
-253.25%-613.00K
-68.49%553.00K
170.67%159.00K
-64.22%39.00K
38.89%400.00K
--1.75M
---225.00K
--109.00K
--288.00K
-Change in receivables
87.39%-43.00K
8666.67%514.00K
-10011.11%-892.00K
220.59%41.00K
-283.33%-341.00K
33.33%-6.00K
108.26%9.00K
15.00%-34.00K
72.22%186.00K
---9.00K
---109.00K
---40.00K
--108.00K
-Change in inventory
--17.00K
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-Change in other current assets
-62.64%-296.00K
805.56%127.00K
-79.07%18.00K
-638.71%-167.00K
-450.00%-182.00K
-101.02%-18.00K
189.58%86.00K
-58.67%31.00K
-60.31%52.00K
--1.77M
---96.00K
--75.00K
--131.00K
-Change in other current liabilities
32.47%102.00K
-904.17%-772.00K
490.83%709.00K
104.65%88.00K
133.33%77.00K
-1.03%96.00K
62.16%120.00K
368.75%43.00K
400.00%33.00K
--97.00K
--74.00K
---16.00K
---11.00K
Cash from non-recurring investing activities
Cash from operating activities
-1.17%-2.51M
-3325.64%-1.26M
-29.85%-1.35M
-49.96%-1.82M
-134.56%-2.48M
103.56%39.00K
20.21%-1.04M
16.67%-1.22M
42.94%-1.06M
---1.10M
---1.31M
---1.46M
---1.86M
Investing cash flow
Net cash from continuing investing activities
93.33%58.00K
883.33%59.00K
2020.00%106.00K
160.87%120.00K
200.00%30.00K
-75.00%6.00K
-61.54%5.00K
--46.00K
-600.00%-30.00K
--24.00K
--13.00K
--0.00
--6.00K
Capital expenditures
93.33%58.00K
883.33%59.00K
2020.00%106.00K
160.87%120.00K
--30.00K
-75.00%6.00K
-61.54%5.00K
--46.00K
----
--24.00K
--13.00K
--0.00
--6.00K
Net cash flow from disposal of fixed assets
93.33%58.00K
883.33%59.00K
2020.00%106.00K
160.87%120.00K
200.00%30.00K
-75.00%6.00K
-61.54%5.00K
--46.00K
-600.00%-30.00K
--24.00K
--13.00K
--0.00
--6.00K
Net cash flow from intangible asset transactions
----
----
--0.00
--0.00
--0.00
--0.00
----
--0.00
----
--0.00
----
----
----
Net cash flow from other investing activities
--0.00
--9.00K
--0.00
----
----
--0.00
----
----
----
----
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
-93.33%-58.00K
-883.33%-59.00K
-2020.00%-106.00K
-160.87%-120.00K
-200.00%-30.00K
75.00%-6.00K
61.54%-5.00K
---46.00K
600.00%30.00K
---24.00K
---13.00K
--0.00
---6.00K
Financing cash flow
Cash flow from continuous financing activities
-101.38%-129.00K
894.10%3.37M
161.43%129.00K
5547.06%2.78M
--9.36M
-319.80%-424.00K
-325.81%-210.00K
-464.29%-51.00K
-100.00%0.00
---101.00K
--93.00K
--14.00K
--381.00K
Net cash flow from common stock issuance/repurchase
-101.20%-129.00K
-529.41%-219.00K
---13.76M
2260.78%1.10M
--10.75M
--51.00K
----
-464.29%-51.00K
-100.00%0.00
----
--93.00K
--14.00K
--381.00K
Net cash flow from preferred stock issuance/repurchase
--0.00
--3.50M
--13.75M
----
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----
----
----
----
----
----
----
Net cash flow from other financing activities
100.00%0.00
118.11%86.00K
--141.00K
--1.68M
---1.39M
---475.00K
----
----
----
----
----
----
----
Net cash from non-recurrent financing activities
Net cash from financing activities
-101.38%-129.00K
894.10%3.37M
161.43%129.00K
5547.06%2.78M
--9.36M
-319.80%-424.00K
-325.81%-210.00K
-464.29%-51.00K
-100.00%0.00
---101.00K
--93.00K
--14.00K
--381.00K
Net cash flow
Beginning cash balance
16155.77%8.45M
1345.37%6.40M
354.61%7.73M
128.91%6.90M
-98.71%52.00K
-91.58%443.00K
-73.79%1.70M
-62.02%3.01M
-57.06%4.04M
--5.26M
--6.49M
--7.93M
--9.41M
Current period cash flow changes
-139.49%-2.70M
624.30%2.05M
-5.81%-1.33M
163.72%836.00K
765.21%6.84M
68.00%-391.00K
-2.53%-1.26M
9.14%-1.31M
30.52%-1.03M
---1.22M
---1.23M
---1.44M
---1.48M
Effect of exchange rate changes
---3.00K
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Ending cash balance
-16.63%5.75M
16155.77%8.45M
1342.12%6.40M
354.61%7.73M
128.91%6.90M
-98.71%52.00K
-91.56%444.00K
-73.79%1.70M
-62.02%3.01M
--4.04M
--5.26M
--6.49M
--7.93M
Free cash flow
-2.27%-2.57M
-4090.91%-1.32M
-39.35%-1.46M
-54.00%-1.94M
-137.39%-2.51M
102.94%33.00K
20.62%-1.05M
13.51%-1.26M
43.13%-1.06M
---1.12M
---1.32M
---1.46M
---1.86M
Currency unit
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Audit opinions
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FAQs

What is operating cash flow?

Operating cash flow is the cash generated or used by a company's core business operations. It adjusts net income for non-cash items and working capital changes, such as depreciation, receivables, inventory, and payables. Strong operating cash flow can indicate that the business is converting sales and earnings into real cash.

How Much Operating Cash Flow Did Cloudastructure Inc Generate?

Cloudastructure Inc generated -6.92M in operating cash flow in fiscal 2025, reflecting cash generated from its core business operations.

How Did Cloudastructure Inc's Operating Cash Flow Change Year Over Year?

Cloudastructure Inc's operating cash flow increased by -111.08% year over year.

What is investing cash flow?

Investing cash flow shows cash used for or generated from investment-related activities, such as capital expenditures, purchases or sales of investments, acquisitions, and asset disposals. Negative investing cash flow is not always bad, because it can reflect spending on future growth, but investors should check whether those investments support long-term returns.

How Much Does Cloudastructure Inc Spend on Capital Expenditures?

Cloudastructure Inc spent 315.00K on capital expenditures in the most recent quarter。

What is financing cash flow?

Financing cash flow shows how a company raises capital or returns capital to investors and creditors. It can include debt issuance, debt repayment, share issuance, share repurchases, dividend payments, and lease financing. Positive financing cash flow may show new capital raised, while negative financing cash flow may reflect debt repayment, dividends, or buybacks.

How Has Cloudastructure Inc's Financing Cash Flow Changed?

Cloudastructure Inc used 15.63M in financing activities in the latest quarter.

What is free cash flow and why does it matter for CSAI?

Free cash flow is the cash a company has left after funding the capital spending needed to maintain or grow the business. It is often used to assess financial flexibility, debt repayment capacity, dividend sustainability, buyback potential, and valuation quality. Investors should compare free cash flow with net income, revenue growth, and capital expenditures.

What was Cloudastructure Inc’s free cash flow in the latest quarter?

Free cash flow was -7.23M reflecting a -118.89% change from the previous year.
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