Figure Technology Solutions, Inc. Class A Cash Flow
FIGR's free cash flow for Q4 2025 was $-2.09B. For the 2025 fiscal year, FIGR's free cash flow was decreased by $215.21M and operating cash flow was $-2.09B. See a summary of the company’s cash flow.
Cash Flow
Dec 25
Dec 24
Dec 23
Operating Cash Flow
$ 62.57M
$ -136.01M
$ -28.87M
Investing Cash Flow
$ -61.27M
$ -30.86M
$ -22.11M
Financing Cash Flow
$ 918.04M
$ 336.12M
$ 65.79M
End Cash Position
$ 1.27B
$ 345.03M
$ 175.78M
Free Cash Flow
$ 62.57M
$ -152.64M
$ -46.13M
Currency in USD
Figure Technology Solutions, Inc. Class A Cash Flow