MarketCapTrends
TRAK

ReposiTrak, Inc.

NYSE · Technology
Income StatementBalance SheetCash Flow
Jun 2025Jun 2024Jun 2023Jun 2022Jun 2021Jun 2020Jun 2019Jun 2018Jun 2017Jun 2016Jun 2015Jun 2014Jun 2013Jun 2012Jun 2011
Operating
Operating Cash Flow
Net Income
Depreciation & Amort.
Stock-Based Comp.
Changes in WC
Investing
Capital Expenditures15,96573,317133,94450,823147,140650,4221.4M204,0052.0M80,987369,536459,230445,744238,760358,566
Acquisitions
Investing Cash Flow
Financing
Debt Repayment
Common Stock Issued
Buybacks
Dividends Paid
Financing Cash Flow
Summary
Free Cash Flow8.4M6.9M8.7M6.1M5.3M3.5M3.1M2.0M299,736422,2361.3M-551,764-594,808627,8561.1M
Net Change in Cash