You can access the annual and quarterly cash flow statements of Ispire Technology Inc to evaluate its financial soundness and stability.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q1
FY2022Q4
FY2022Q3
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-132.79%-1.18M
429.69%4.70M
-472.63%-12.50M
56.72%-3.18M
127.51%3.61M
85.86%-1.42M
146.53%3.35M
---7.35M
-686.91%-13.12M
-161.25%-10.07M
54.03%-7.21M
--2.24M
--16.45M
---15.68M
Net income from continuing operations
41.75%-3.26M
-332.32%-14.79M
-82.47%-10.86M
-98.86%-8.00M
-317.04%-5.60M
-129.43%-3.42M
-281.01%-5.95M
---4.02M
32.98%-1.34M
31.04%-1.49M
-57.65%-1.56M
---2.00M
---2.16M
---990.56K
Operating gains losses
-48.07%253.41K
-76.46%371.72K
800.31%570.67K
1062.45%534.71K
54.12%488.00K
6023.98%1.58M
203.60%63.39K
--46.00K
4732.02%316.64K
296.98%25.78K
613.53%20.88K
--6.55K
--6.50K
--2.93K
Other non-cash items
-20.40%2.53M
259.32%9.82M
395.98%6.10M
143.49%4.18M
1308.41%3.18M
27.95%2.73M
967.15%1.23M
--1.72M
-12.14%225.49K
2752.84%2.14M
-310.10%-141.91K
--256.66K
---80.55K
--67.55K
Change in working capital
-153.31%-1.84M
300.66%8.27M
-262.39%-10.02M
79.24%-1.45M
126.02%3.46M
61.63%-4.12M
211.63%6.17M
---6.98M
-434.40%-13.29M
-157.51%-10.74M
62.56%-5.53M
--3.97M
--18.68M
---14.76M
-Change in receivables
113.00%744.25K
132.21%4.75M
130.88%1.17M
-18.30%-9.53M
61.07%-5.73M
-43.78%-14.75M
-353.55%-3.79M
---8.05M
-148.59%-14.71M
-808.33%-10.26M
158.87%1.50M
---5.92M
--1.45M
---2.54M
-Change in inventory
108.91%62.40K
-86.87%447.88K
107.86%181.07K
53.31%-966.18K
-137.59%-700.32K
-49.57%3.41M
-137.97%-2.30M
---2.07M
138.98%1.86M
245.29%6.77M
731.79%6.07M
---4.78M
---4.66M
---960.44K
-Change in prepaid expenses
3658.45%509.53K
-17.58%168.88K
-90.88%139.69K
40.04%-841.34K
-100.89%-14.32K
107.72%204.91K
2068.82%1.53M
---1.40M
6561.83%1.60M
-5321.05%-2.66M
78.66%-77.82K
---24.81K
---48.98K
---364.63K
-Change in other current liabilities
-2072.66%-1.90M
278.42%3.40M
-96.99%-549.99K
-134.34%-119.48K
-131.05%-87.40K
260.28%898.46K
-1.61%-279.20K
--347.90K
128.21%281.53K
245.66%249.38K
-117.27%-274.77K
---997.91K
--72.14K
--1.59M
Cash from non-recurring investing activities
Cash from operating activities
-132.79%-1.18M
429.69%4.70M
-472.63%-12.50M
56.72%-3.18M
127.51%3.61M
85.86%-1.42M
146.53%3.35M
---7.35M
-686.91%-13.12M
-161.25%-10.07M
54.03%-7.21M
--2.24M
--16.45M
---15.68M
Investing cash flow
Net cash from continuing investing activities
-84.86%140.04K
16.63%1.12M
-156.32%-181.81K
-83.34%178.81K
17.30%925.20K
82.28%958.25K
1845.50%322.80K
--1.07M
142.89%788.77K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Capital expenditures
-84.86%140.04K
16.63%1.12M
-100.00%0.00
-83.34%178.81K
17.30%925.20K
82.28%958.25K
1845.50%322.80K
--1.07M
142.89%788.77K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Net cash flow from disposal of fixed assets
-97.21%7.50K
25.58%959.75K
-342.10%-181.81K
-90.97%53.98K
-49.58%268.78K
45.38%764.25K
352.60%75.10K
--597.50K
64.17%533.12K
92453.35%525.70K
-77.46%16.59K
--324.75K
--568.00
--73.60K
Net cash flow from intangible asset transactions
-79.81%132.53K
-18.65%157.82K
-100.00%0.00
-73.77%124.83K
156.77%656.42K
--194.01K
--247.70K
--475.94K
--255.65K
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Net cash flow from investment products
----
138.36%767.28K
-109.43%-767.28K
----
----
-524.89%-2.00M
184.69%8.13M
----
----
--470.71K
---9.60M
----
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----
Net cash flow from other investing activities
--0.00
---3.16M
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Cash from non-current investing activities
Net cash flow from investing activities
84.86%-140.04K
-18.62%-3.51M
-107.50%-585.48K
83.34%-178.81K
-17.30%-925.20K
-5279.42%-2.96M
181.19%7.81M
---1.07M
-142.89%-788.77K
-9581.69%-54.99K
-12971.49%-9.62M
---324.75K
---568.00
---73.60K
Financing cash flow
Cash flow from continuous financing activities
---319.00K
-42571200.00%-425.71K
-78.87%2.28M
-100.00%0.00
100.00%0.00
-100.00%-1.00
124.85%10.79M
--242.18K
-141.40%-703.32K
1240.78%26.39M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash flow from debt Issuance/repayment
---319.00K
---425.71K
--2.34M
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Net cash flow from common stock issuance/repurchase
----
--0.00
-100.49%-60.49K
----
----
-100.00%0.00
--12.30M
----
----
--21.73M
----
----
----
----
Net cash flow from other financing activities
--0.00
-233936100.00%-2.34M
----
----
100.00%0.00
-100.00%-1.00
96.51%-1.51M
--242.18K
-141.40%-703.32K
301.32%4.66M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash from non-recurrent financing activities
Net cash from financing activities
---319.00K
-42571200.00%-425.71K
-78.87%2.28M
-100.00%0.00
100.00%0.00
-100.00%-1.00
124.85%10.79M
--242.18K
-141.40%-703.32K
1240.78%26.39M
-2781.25%-43.40M
---291.35K
---2.31M
--1.62M
Net cash flow
Beginning cash balance
-30.56%24.35M
-40.21%23.59M
96.51%34.40M
46.99%37.76M
-12.98%35.07M
64.15%39.45M
-79.23%17.50M
--25.69M
-45.89%40.30M
-60.17%24.04M
13.13%84.27M
--74.48M
--60.35M
--74.48M
Current period cash flow changes
-161.18%-1.64M
117.36%760.61K
-149.22%-10.80M
58.93%-3.36M
118.37%2.68M
-126.94%-4.38M
136.44%21.95M
---8.18M
-1002.28%-14.61M
15.09%16.26M
-326.11%-60.23M
--1.62M
--14.13M
---14.14M
Ending cash balance
-39.85%22.71M
-30.56%24.35M
-40.21%23.59M
96.51%34.40M
46.99%37.76M
-12.98%35.07M
64.15%39.45M
--17.50M
-66.25%25.69M
-45.89%40.30M
-60.17%24.04M
--76.10M
--74.48M
--60.35M
Free cash flow
-149.30%-1.32M
250.18%3.58M
-512.31%-12.50M
60.11%-3.36M
119.30%2.68M
77.52%-2.38M
141.95%3.03M
---8.43M
-827.92%-13.91M
-164.45%-10.60M
54.14%-7.22M
--1.91M
--16.45M
---15.75M
Currency unit
USD
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FAQs
What is the cash flow statement?
This report tracks the movement of cash into and out of the business, covering operating, investing, and financing activities. It highlights how well the company manages cash to support growth and meet its obligations.