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CSP Inc (CSPI)

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  • 10.200
  • +0.610+6.36%
Close Apr 24 16:00 ET
  • 10.200
  • 0.0000.00%
Post 16:00 ET
101.11MMarket Cap-204.00P/E (TTM)

CSP Inc (CSPI) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 31, 2025
(FY)Sep 30, 2025
(Q4)Sep 30, 2025
(Q3)Jun 30, 2025
(Q2)Mar 31, 2025
(Q1)Dec 31, 2024
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-267.49%-2.92M
-46.17%2.27M
225.86%1.9M
-236.96%-3.28M
15.81%1.91M
4.06%1.74M
7.83%4.21M
-117.03%-1.51M
666.67%2.4M
654.03%1.65M
Net income from continuing operations
-80.72%91K
72.09%-91K
88.47%-191K
-42.70%-264K
-106.80%-108K
746.58%472K
-106.26%-326K
-217.61%-1.66M
-107.36%-185K
394.70%1.59M
Operating gains losses
102.72%8K
-107.29%-32K
-124.39%-70K
1,900.00%200K
512.50%132K
-268.97%-294K
-24.96%439K
331.45%287K
-89.25%10K
-127.83%-32K
Depreciation and amortization
-16.24%165K
-11.59%702K
-21.94%153K
-15.50%169K
-7.58%183K
-1.50%197K
-14.72%794K
-7.11%196K
-18.03%200K
-16.46%198K
Deferred tax
142.44%250K
-371.58%-1.83M
30.67%-104K
-166.57%-893K
-343.88%-239K
---589K
83.50%-387K
48.81%-150K
83.68%-335K
--98K
Other non cash items
5.88%-32K
-12.22%-202K
11.36%-39K
-60.29%-109K
41.18%-20K
0.00%-34K
-38.46%-180K
-29.41%-44K
-44.68%-68K
-88.89%-34K
Change In working capital
-360.83%-3.86M
-10.37%1.68M
298.43%1.64M
-225.33%-2.88M
319.54%1.44M
40.09%1.48M
206.13%1.87M
-111.44%-827K
251.38%2.3M
47.39%-655K
-Change in receivables
-100.63%-11K
-308.73%-5.19M
-29,704.55%-6.51M
-91.10%65K
48.22%-479K
-34.54%1.74M
-64.95%2.49M
-99.71%22K
130.44%730K
-303.74%-925K
-Change in inventory
-376.65%-924K
804.21%669K
49,775.00%1.99M
-37.78%-1.46M
-103.64%-197K
107.51%334K
-106.10%-95K
-100.27%-4K
-149.67%-1.06M
341.11%5.41M
-Change in payables and accrued expense
-370.11%-5.32M
1,131.62%7.21M
3,542.63%6.92M
-83.43%419K
119.55%996K
-138.21%-1.13M
105.48%585K
108.66%190K
3,931.82%2.53M
-322.74%-5.09M
-Change in other current assets
-83.31%145K
183.70%570K
76.26%-235K
-24.83%-377K
752.08%313K
31.87%869K
-116.19%-681K
-149.75%-990K
-235.56%-302K
-102.36%-48K
-Change in other current liabilities
3,588.33%2.09M
50.90%-355K
23.63%-585K
-219.58%-623K
339.63%913K
38.14%-60K
47.80%-723K
-689.69%-766K
161.73%521K
-129.52%-381K
-Change in other working capital
158.03%159K
-508.33%-1.23M
-90.85%66K
-633.06%-909K
-128.42%-108K
59.53%-274K
111.76%300K
143.94%721K
49.59%-124K
433.33%380K
Cash from discontinued investing activities
Operating cash flow
-267.49%-2.92M
-46.17%2.27M
225.86%1.9M
-236.96%-3.28M
15.81%1.91M
4.06%1.74M
7.83%4.21M
-117.03%-1.51M
666.67%2.4M
654.03%1.65M
Investing cash flow
Cash flow from continuing investing activities
-123.40%-105K
-67.19%-428K
-1,311.11%-254K
-46.67%-66K
8.96%-61K
62.70%-47K
24.93%-256K
-100.77%-18K
-103.92%-45K
98.21%-67K
Net PPE purchase and sale
-123.40%-105K
-77.55%-348K
-1,241.18%-228K
-46.67%-66K
50.00%-7K
60.83%-47K
13.27%-196K
-54.55%-17K
-32.35%-45K
89.78%-14K
Net intangibles purchase and sale
----
-160.00%-26K
-550.00%-26K
--0
--0
--0
80.39%-10K
---4K
--0
--0
Net investment purchase and sale
----
----
----
----
----
----
--0
--0
--0
----
Net other investing changes
----
-8.00%-54K
--0
--0
----
----
21.88%-50K
--3K
--0
----
Cash from discontinued investing activities
Investing cash flow
-123.40%-105K
-67.19%-428K
-1,311.11%-254K
-46.67%-66K
8.96%-61K
62.70%-47K
24.93%-256K
-100.77%-18K
-103.92%-45K
98.21%-67K
Financing cash flow
Cash flow from continuing financing activities
133.59%533K
-465.19%-5.04M
-118.17%-582K
125.78%149K
-4,612.50%-3.02M
-34.26%-1.59M
157.43%1.38M
1,509.55%3.2M
-156.89%-578K
97.16%-64K
Net issuance payments of debt
133.59%533K
-246.61%-3.27M
-107.10%-237K
421.20%697K
-847.55%-2.14M
-34.26%-1.59M
210.30%2.23M
1,513.53%3.34M
-578.13%-217K
113.82%286K
Net common stock issuance
----
-735.58%-869K
-588.24%-234K
-258.57%-251K
----
----
-1,633.33%-104K
---34K
---70K
----
Cash dividends paid
----
-16.70%-1.19M
-1.36%-298K
-2.06%-297K
----
----
-55.18%-1.02M
-54.74%-294K
-54.79%-291K
----
Proceeds from stock option exercised by employees
----
4.38%286K
-2.09%187K
--0
----
----
-2.14%274K
4.95%191K
--0
----
Cash from discontinued financing activities
Financing cash flow
133.59%533K
-465.19%-5.04M
-118.17%-582K
125.78%149K
-4,612.50%-3.02M
-34.26%-1.59M
157.43%1.38M
1,509.55%3.2M
-156.89%-578K
97.16%-64K
Net cash flow
Beginning cash position
-10.35%27.42M
21.29%30.59M
-8.94%26.31M
8.76%29.5M
19.69%30.65M
21.29%30.59M
5.15%25.22M
108.63%28.89M
103.72%27.12M
30.77%25.61M
Current changes in cash
-2,425.23%-2.49M
-159.90%-3.2M
-36.67%1.06M
-280.38%-3.2M
-176.64%-1.17M
-70.68%107K
358.03%5.34M
-85.28%1.68M
254.80%1.77M
124.20%1.52M
Effect of exchange rate changes
94.74%-2K
-9.38%29K
182.35%48K
750.00%13K
150.00%6K
-231.03%-38K
-54.29%32K
168.00%17K
-105.56%-2K
-233.33%-12K
End cash Position
-18.68%24.93M
-10.35%27.42M
-10.35%27.42M
-8.94%26.31M
8.76%29.5M
19.69%30.65M
21.29%30.59M
21.29%30.59M
108.63%28.89M
103.72%27.12M
Free cash flow
-278.34%-3.02M
-52.73%1.89M
207.52%1.64M
-242.39%-3.35M
16.37%1.91M
9.50%1.69M
10.39%4.01M
-117.29%-1.53M
614.66%2.35M
476.32%1.64M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Dec 31, 2025(FY)Sep 30, 2025(Q4)Sep 30, 2025(Q3)Jun 30, 2025(Q2)Mar 31, 2025(Q1)Dec 31, 2024(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(Q2)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -267.49%-2.92M-46.17%2.27M225.86%1.9M-236.96%-3.28M15.81%1.91M4.06%1.74M7.83%4.21M-117.03%-1.51M666.67%2.4M654.03%1.65M
Net income from continuing operations -80.72%91K72.09%-91K88.47%-191K-42.70%-264K-106.80%-108K746.58%472K-106.26%-326K-217.61%-1.66M-107.36%-185K394.70%1.59M
Operating gains losses 102.72%8K-107.29%-32K-124.39%-70K1,900.00%200K512.50%132K-268.97%-294K-24.96%439K331.45%287K-89.25%10K-127.83%-32K
Depreciation and amortization -16.24%165K-11.59%702K-21.94%153K-15.50%169K-7.58%183K-1.50%197K-14.72%794K-7.11%196K-18.03%200K-16.46%198K
Deferred tax 142.44%250K-371.58%-1.83M30.67%-104K-166.57%-893K-343.88%-239K---589K83.50%-387K48.81%-150K83.68%-335K--98K
Other non cash items 5.88%-32K-12.22%-202K11.36%-39K-60.29%-109K41.18%-20K0.00%-34K-38.46%-180K-29.41%-44K-44.68%-68K-88.89%-34K
Change In working capital -360.83%-3.86M-10.37%1.68M298.43%1.64M-225.33%-2.88M319.54%1.44M40.09%1.48M206.13%1.87M-111.44%-827K251.38%2.3M47.39%-655K
-Change in receivables -100.63%-11K-308.73%-5.19M-29,704.55%-6.51M-91.10%65K48.22%-479K-34.54%1.74M-64.95%2.49M-99.71%22K130.44%730K-303.74%-925K
-Change in inventory -376.65%-924K804.21%669K49,775.00%1.99M-37.78%-1.46M-103.64%-197K107.51%334K-106.10%-95K-100.27%-4K-149.67%-1.06M341.11%5.41M
-Change in payables and accrued expense -370.11%-5.32M1,131.62%7.21M3,542.63%6.92M-83.43%419K119.55%996K-138.21%-1.13M105.48%585K108.66%190K3,931.82%2.53M-322.74%-5.09M
-Change in other current assets -83.31%145K183.70%570K76.26%-235K-24.83%-377K752.08%313K31.87%869K-116.19%-681K-149.75%-990K-235.56%-302K-102.36%-48K
-Change in other current liabilities 3,588.33%2.09M50.90%-355K23.63%-585K-219.58%-623K339.63%913K38.14%-60K47.80%-723K-689.69%-766K161.73%521K-129.52%-381K
-Change in other working capital 158.03%159K-508.33%-1.23M-90.85%66K-633.06%-909K-128.42%-108K59.53%-274K111.76%300K143.94%721K49.59%-124K433.33%380K
Cash from discontinued investing activities
Operating cash flow -267.49%-2.92M-46.17%2.27M225.86%1.9M-236.96%-3.28M15.81%1.91M4.06%1.74M7.83%4.21M-117.03%-1.51M666.67%2.4M654.03%1.65M
Investing cash flow
Cash flow from continuing investing activities -123.40%-105K-67.19%-428K-1,311.11%-254K-46.67%-66K8.96%-61K62.70%-47K24.93%-256K-100.77%-18K-103.92%-45K98.21%-67K
Net PPE purchase and sale -123.40%-105K-77.55%-348K-1,241.18%-228K-46.67%-66K50.00%-7K60.83%-47K13.27%-196K-54.55%-17K-32.35%-45K89.78%-14K
Net intangibles purchase and sale -----160.00%-26K-550.00%-26K--0--0--080.39%-10K---4K--0--0
Net investment purchase and sale --------------------------0--0--0----
Net other investing changes -----8.00%-54K--0--0--------21.88%-50K--3K--0----
Cash from discontinued investing activities
Investing cash flow -123.40%-105K-67.19%-428K-1,311.11%-254K-46.67%-66K8.96%-61K62.70%-47K24.93%-256K-100.77%-18K-103.92%-45K98.21%-67K
Financing cash flow
Cash flow from continuing financing activities 133.59%533K-465.19%-5.04M-118.17%-582K125.78%149K-4,612.50%-3.02M-34.26%-1.59M157.43%1.38M1,509.55%3.2M-156.89%-578K97.16%-64K
Net issuance payments of debt 133.59%533K-246.61%-3.27M-107.10%-237K421.20%697K-847.55%-2.14M-34.26%-1.59M210.30%2.23M1,513.53%3.34M-578.13%-217K113.82%286K
Net common stock issuance -----735.58%-869K-588.24%-234K-258.57%-251K---------1,633.33%-104K---34K---70K----
Cash dividends paid -----16.70%-1.19M-1.36%-298K-2.06%-297K---------55.18%-1.02M-54.74%-294K-54.79%-291K----
Proceeds from stock option exercised by employees ----4.38%286K-2.09%187K--0---------2.14%274K4.95%191K--0----
Cash from discontinued financing activities
Financing cash flow 133.59%533K-465.19%-5.04M-118.17%-582K125.78%149K-4,612.50%-3.02M-34.26%-1.59M157.43%1.38M1,509.55%3.2M-156.89%-578K97.16%-64K
Net cash flow
Beginning cash position -10.35%27.42M21.29%30.59M-8.94%26.31M8.76%29.5M19.69%30.65M21.29%30.59M5.15%25.22M108.63%28.89M103.72%27.12M30.77%25.61M
Current changes in cash -2,425.23%-2.49M-159.90%-3.2M-36.67%1.06M-280.38%-3.2M-176.64%-1.17M-70.68%107K358.03%5.34M-85.28%1.68M254.80%1.77M124.20%1.52M
Effect of exchange rate changes 94.74%-2K-9.38%29K182.35%48K750.00%13K150.00%6K-231.03%-38K-54.29%32K168.00%17K-105.56%-2K-233.33%-12K
End cash Position -18.68%24.93M-10.35%27.42M-10.35%27.42M-8.94%26.31M8.76%29.5M19.69%30.65M21.29%30.59M21.29%30.59M108.63%28.89M103.72%27.12M
Free cash flow -278.34%-3.02M-52.73%1.89M207.52%1.64M-242.39%-3.35M16.37%1.91M9.50%1.69M10.39%4.01M-117.29%-1.53M614.66%2.35M476.32%1.64M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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