TRAEGER, INC. β Cash Flow Charts
7 years of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ+172.2% +$49M
$21M
Free Cash Flowβ+126.7% +$64M
$14M
Investing Cash Flowβ+90.8% +$73M
$-7M
Financing Cash Flowβ-107.5% -$122M
$-9M
Capexβ-69.2% -$16M
$7M
Acquisitionsβ-100.0% -$1M
$0
Stock-Based Compβ-81.2% -$66M
$15M
D&Aβ+2.6% +$881K
$35M