Samsara Inc. - Cash Flow Statement (TTM)

Samsara Inc.
MX ˙ BMV
Cash Flow Statement (TTM)

Samsara Inc. Cash Flow Statement shows changes in cash positions over time. Cash Flow Statement data includes Cash from Operating Activities (CFOP), Cash from Investing Activities, and Cash from Financing Activities.

All numbers are times 1,000,000 except per share units.

2021
01-30
2021
10-30
2022
01-29
2022
04-30
2022
07-30
2022
10-29
2023
01-28
2023
04-29
2023
07-29
2023
10-28
2024
02-03
2024
05-04
2024
08-03
2024
11-02
2025
02-01
2025
05-03
2025
08-02
Cash From Operating Activities -172 -157 -171 -183 -175 -147 -103 -44 1 26 -12 1 12 36 132 161 193
Change (%) -8.77 9.43 6.83 -4.29 -16.18 -29.90 -57.50 -102.09 2,713.80 -145.99 -111.86 742.11 204.48 266.51 21.98 19.95
% of Cash Flow -86.75 92.27 -33.62 -37.47 -34.75 -86.00 14.30 6.57 -0.15 -10.69 17.12 -4.04 -28.48 -73.02 144.59 161.87 187.39
Cash From Investing Activities -32 -13 -20 -27 -30 -392 -632 -639 -650 -285 -79 -58 -77 -110 -67 -88 -120
Change (%) -58.45 49.73 35.74 11.10 1,197.53 61.17 1.12 1.66 -56.07 -72.42 -26.41 33.55 41.91 -39.30 32.03 36.23
% of Cash Flow -16.26 7.88 -3.93 -5.56 -5.99 -229.43 87.69 95.85 103.24 118.72 113.99 166.98 186.71 223.10 -73.16 -88.65 -116.56
Cash From Financing Activities 402 0 702 700 711 711 14 16 18 19 21 22 25 25 27 26 29
Change (%) -99.95 329,310.33 -0.29 1.57 -0.02 -98.00 10.17 17.89 1.59 11.98 2.86 14.46 -0.53 10.21 -2.46 10.34
% of Cash Flow 203.01 -0.13 137.58 143.09 140.84 415.80 -1.97 -2.35 -2.93 -7.80 -30.42 -62.28 -59.68 -49.99 29.76 26.64 28.37
Cash Flow 198 -170 510 489 505 171 -721 -667 -629 -240 -69 -35 -41 -49 91 99 103
Change (%) -185.77 -400.32 -4.13 3.20 -66.14 -521.68 -7.49 -5.62 -61.79 -71.28 -49.76 19.43 18.77 -285.10 8.96 3.62
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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