Cloudastructure Cash Flow Statement Analysis

Operating, investing, and financing activities in millions USD

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Cash flow statement showing operating, investing, and financing activities for Cloudastructure Inc. (CSAI) - Annual data in millions USD
BreakdownFY 2024FY 2023FY 2022FY 2021FY 2020
Period EndingDec 2024Dec 2023Dec 2022Dec 2021Dec 2020
Operating Activities
Net Income-6.54-9.01-11.63-9.32-1.83
Depreciation & Amortization0.070.210.200.030.00
Stock Based Compensation2.041.151.310.020.04
Change in Working Capital1.151.93-0.80-0.470.02
Change in Accounts Receivable0.16-0.05-0.01-0.270.00
Change in Accounts Payable0.60-0.12-0.250.290.07
Change in Other Working Capital0.400.000.00-0.53-0.04
Other Operating Activities0.000.000.000.720.32
Net Cash from Operating Activities-3.28-5.72-10.92-9.02-1.45
Investing Activities
Capital Expenditures-0.03-0.04-1.81-0.34-0.05
Sales/Maturities of Investments0.000.00-1.670.000.00
Net Cash from Investing Activities-0.03-0.04-1.81-0.34-0.05
Financing Activities
Common Stock Issued0.010.398.6621.494.03
Common Stock Repurchased0.000.00-0.170.000.00
Other Financing Activities-0.690.00-0.17-0.370.00
Net Cash from Financing Activities-0.690.398.4920.174.34
Summary
Effect of Forex Changes on Cash0.000.000.000.000.00
Net Change in Cash-3.99-5.37-4.2310.812.83
Cash at Beginning of Period4.049.4113.650.000.00
Cash at End of Period0.054.049.410.000.00
Free Cash Flow-3.30-5.76-12.73-9.35-1.50