Cash Flow from Investing Activities: The total change in cash resulting from a company's investments.
Fiverr International (FVRR) had Cash Flow from Investing Activities of $122.33M for the most recently reported fiscal quarter, ending 2025-06-30.
| Income Statement Financials | |
$108.65M  | 
								|
$3.19M  | 
								|
$20.38M  | 
								|
$88.26M  | 
								|
$110.64M  | 
								|
$-1.99M  | 
								|
$6.55M  | 
								|
$4.57M  | 
								|
$4.57M  | 
								|
$3.19M  | 
								|
$3.19M  | 
								|
$3.19M  | 
								|
$3.19M  | 
								|
$-1.99M  | 
								|
$1.21M  | 
								|
36.59M  | 
								|
37.50M  | 
								|
$0.09  | 
								|
$0.09  | 
								|
| Balance Sheet Financials | |
$930.23M  | 
								|
$3.88M  | 
								|
$208.37M  | 
								|
$1.14B  | 
								|
$706.71M  | 
								|
$27.03M  | 
								|
$27.03M  | 
								|
$733.74M  | 
								|
$404.86M  | 
								|
$259.57M  | 
								|
$404.86M  | 
								|
36.86M  | 
								|
| Cash Flow Statement Financials | |
$53.51M  | 
								|
| 
										 Cash Flow from Investing Activities  | 
									$122.33M  | 
								
$3.87M  | 
								|
$133.47M  | 
								|
$313.52M  | 
								|
$180.05M  | 
								|
$29.81M  | 
								|
--  | 
								|
--  | 
								|
| Fundamental Metrics & Ratios | |
1.32  | 
								|
--  | 
								|
--  | 
								|
0.06  | 
								|
1.21  | 
								|
81.24%  | 
								|
-1.83%  | 
								|
-1.83%  | 
								|
--  | 
								|
4.20%  | 
								|
2.93%  | 
								|
$53.04M  | 
								|
--  | 
								|
--  | 
								|
--  | 
								|
0.10  | 
								|
--  | 
								|
2.69  | 
								|
33.46  | 
								|
0.79%  | 
								|
1.23%  | 
								|
0.28%  | 
								|
0.74%  | 
								|
$10.98  | 
								|
$1.41  | 
								|
$1.43  | 
								|