SOBR Safe Operating Cash Flow Growth & History (SOBR)

SOBR Safe's operating cash flow was −$7.0M for fiscal 2025.

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SOBR Safe annual operating cash flow history

SOBR Safe annual operating cash flow

Fiscal yearPeriod endedOperating cash flowChangeGrowth
20252025-12-31−$7.0M−$436,383
20242024-12-31−$6.5M−$593,508
20232023-12-31−$5.9M$228,096
20222022-12-31−$6.2M−$2.5M
20212021-12-31−$3.7M−$1.5M
20202020-12-31−$2.2M−$1.6M
20192019-12-31−$543,956−$482,603
20182018-12-31−$61,353$101,204
20172017-12-31−$162,557−$31,084
20162016-12-31−$131,473−$10,724
20152015-12-31−$120,749$190,160
20142014-12-31−$310,909$133,806
20132013-12-31−$444,715−$38,312
20122012-12-31−$406,403$26,773
20112011-12-31−$433,176

SOBR Safe operating cash flow trends

Over the last five fiscal years, SOBR Safe's operating cash flow decreased from −$2.2M to −$7.0M, a change of −$4.8M. The latest reported quarter, Q2 2026, shows −$1.8M.

About the metric

What operating cash flow means

Operating cash flow is the cash generated or used by a company’s core operations. It incorporates working-capital movements and other operating cash items, and it is the starting point for calculating free cash flow.

Calculation and source

SEC-reported operating cash flow

TickerStat standardizes net cash provided by or used in operating activities reported in company SEC filings. It is historical filing data before capital expenditures, financing activities, and investing activities. Fiscal periods can differ from calendar years, so exact period-end dates are included.

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