Figure Technology Solutions Inc. Class A Common Stock
FIGR | NASDAQ
$36.60
+$1.31 (+3.71%)
Sep 22, 2026, 12:02 PM ET · Market open
Fiscal Year Period Ending | FY 2025 Dec 30, 2025 | FY 2024 Dec 30, 2024 | FY 2023 Dec 30, 2023 |
|---|---|---|---|
Net Income | 134.28M | 19.92M | -52.44M |
Depreciation & Amortization | 1.02M | 17.11M | 19.38M |
Stock-Based Compensation | 62.36M | 38.73M | 13.45M |
Other Working Capital | -6.49B | -4.84B | -3.24B |
Other Non-Cash Items | 6.43B | -151.58M | -57.47M |
Deferred Income Tax | n/a | n/a | n/a |
Change in Working Capital | -6.56B | -60.19M | 48.22M |
Operating Cash Flow | 62.57M | -136.02M | -28.87M |
Capital Expenditures | -20.65M | -16.63M | -17.26M |
Cash Acquisitions | n/a | n/a | n/a |
Purchase of Investments | -116.68M | -30.1M | -817K |
Sales Maturities Of Investments | 75.25M | 16.09M | n/a |
Other Investing Acitivies | 797K | -221K | -4.03M |
Investing Cash Flow | -61.28M | -30.86M | -22.11M |
Debt Repayment | 250.76M | 266.91M | 65.61M |
Common Stock Repurchased | n/a | -1M | n/a |
Dividend Paid | n/a | -2.81M | -345K |
Other Financial Acitivies | -160K | -273K | 527K |
Financial Cash Flow | 918.04M | 336.12M | 65.79M |
Net Cash Flow | 919.33M | 169.25M | 14.81M |
Free Cash Flow | 41.92M | -152.64M | -46.13M |
Adj. Free Cash Flow | -20.45M | -191.37M | -59.58M |
Maintenance CapEx | -1.02M | -16.63M | -17.26M |
Growth CapEx | -19.63M | n/a | n/a |
Owner Earnings | 61.55M | -152.64M | -46.13M |
Add to Watchlist
Select watchlists to add or remove FIGR