Free Cash Flow: A measure of financial performance calculated as operating cash flow minus capital expenditures. Calculated as: Cash Flow from Operations + Net Property, Plant & Equipment Exp (a negative number)
Virtual Piggy Inc. (RPMT) had Free Cash Flow of $-6.15M for the most recently reported fiscal year, ending 2025-12-31.
| Income Statement Financials | |
$0.00M |
|
$-12.42M |
|
-- |
|
$0.00M |
|
$8.52M |
|
$-8.52M |
|
$-1.08M |
|
$-9.59M |
|
$-9.59M |
|
$-9.59M |
|
$-9.59M |
|
$-9.59M |
|
$-9.59M |
|
$-8.52M |
|
$-8.48M |
|
136.34M |
|
136.34M |
|
$-0.09 |
|
$-0.09 |
|
| Balance Sheet Financials | |
$0.23M |
|
-- |
|
$0.26M |
|
$0.49M |
|
$48.39M |
|
-- |
|
-- |
|
$48.39M |
|
$-47.90M |
|
$-48.16M |
|
$-47.90M |
|
136.59M |
|
| Cash Flow Statement Financials | |
$-6.15M |
|
$-0.01M |
|
$3.31M |
|
$3.01M |
|
$0.16M |
|
$-2.85M |
|
$1.98M |
|
-- |
|
-- |
|
| Fundamental Metrics & Ratios | |
0.00 |
|
-- |
|
-- |
|
-- |
|
-0.45 |
|
100.00% |
|
-378491.50% |
|
-378491.50% |
|
-376713.20% |
|
-426355.60% |
|
-552003.30% |
|
|
Free Cash Flow |
$-6.15M |
-- |
|
-- |
|
-- |
|
0.00 |
|
-- |
|
-- |
|
-- |
|
20.03% |
|
19.92% |
|
-1948.64% |
|
20.03% |
|
$-0.35 |
|
$-0.05 |
|
$-0.05 |
|