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For the quarter ending 2026-03-31, ASPSZ had $3,168K increase in cash & cash equivalents over the period. $4,315K in free cash flow.

Cash Flow Overview

Change in Cash
$3,168K
Free Cash flow
$4,315K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Accounts payable and accrued exp...
    • Prepaid expenses and other curre...
    • Amortization of intangible asset...
    • Others
Negative Cash Flow Breakdown
    • Accounts receivable
    • Amortization of debt premium
    • Payments of tax withholding on v...
    • Others

Cash Flow
2026-03-31
2025-12-31
2025-09-30
Net loss
-531 -7,134 9,062
Depreciation and amortization
58 74 443
Amortization of right-of-use assets under operating leases
377 375 914
Amortization of intangible assets
1,424 1,373 3,810
Pik accrual
-0 0
Share-based compensation expense
1,193 1,281 3,066
Bad debt expense
74 103 125
Amortization of debt premium
1,185 1,234 2,893
Amortization of debt discount
102 100 815
Amortization of debt issuance costs
54 49 501
Deferred income taxes
-41 -1,284 91
Loss on disposal of fixed assets
-0 0
Loss on sale of business
-0 -
Accounts receivable
2,781 668 2,494
Prepaid expenses and other current assets
-1,899 1,332 1,110
Other assets
-105 -29 -2,044
Accounts payable and accrued expenses
4,130 7,565 -1,482
Current and non-current operating lease liabilities
-399 -390 -952
Other current and non-current liabilities
-26 588 -16,500
Net cash provided by (used in) operating activities
4,453 -505 -4,560
Additions to premises and equipment
138 20 49
Proceeds from the sale of business
-0 -
Other investing activities
-0 250
Net cash used in investing activities
-138 -20 -299
Purchase of fractional shares
-0 1
(repayment of) proceeds from revolving loan
--1,000 0
Proceeds from the super senior facility
0 0 11,250
Proceeds from exercise of cash settle stakeholder warrants
--15
Debt issuance costs
0 1 1,741
Repayments of long-term debt
306 321 613
Proceeds from exercise of warrants, net of costs
-31 0
Equity issuance costs
0 55 3,784
Distributions to non-controlling interests
38 81 146
Payments of tax withholding on vesting of restricted share units and restricted shares
803 18 343
Net cash (used in) provided by financing activities
-1,147 -1,460 4,637
Net increase in cash, cash equivalents and restricted cash
3,168 -1,985 -222
Cash, cash equivalents and restricted cash at the beginning of the period
30,493 32,478 32,700
Cash, cash equivalents and restricted cash at the end of the period
33,661 30,493 32,478
Unit: Thousand (K) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Accounts payable andaccrued expenses$4,130K Prepaid expenses andother current assets-$1,899K Amortization of intangibleassets$1,424K Share-based compensationexpense$1,193K Amortization of right-of-useassets under operating...$377K Other assets-$105K Amortization of debt discount$102K Bad debt expense$74K Depreciation andamortization$58K Amortization of debt issuancecosts$54K Net cash provided by(used in) operating...$4,453K Canceled cashflow$4,963K Net increase incash, cash...$3,168K Canceled cashflow$1,285K Accounts receivable$2,781K Amortization of debt premium$1,185K Net loss-$531K Current and non-currentoperating lease...-$399K Deferred income taxes-$41K Other current andnon-current liabilities-$26K Net cash (used in)provided by financing...-$1,147K Net cash used ininvesting activities-$138K Payments of taxwithholding on vesting of...$803K Repayments of long-termdebt$306K Distributions tonon-controlling interests$38K Additions to premises andequipment$138K

ALTISOURCE PORTFOLIO SOLUTIONS S.A. (ASPSZ)

ALTISOURCE PORTFOLIO SOLUTIONS S.A. (ASPSZ)