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The latest financial statement is for the quarter ending 2025-09-30.

Cash Flow Overview

Free Cash flow
$16,378K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Proceeds from new debt, net of c...
    • Loss on extinguishment of debt
    • Stock-based compensation
    • Others
Negative Cash Flow Breakdown
    • Repayment of notes payable, incl...
    • Payment of payroll taxes upon ve...
    • Accounts payable, accrued expens...
    • Others

Cash Flow
2025-09-30
2025-06-30
Amortization of operating lease right-of-use assets
-399
Investment loss from investment in eton pharmaceuticals
-0
Net loss
1,020 -12,785
Depreciation and amortization of property, plant and equipment and software development costs
490 961
Amortization of intangible assets
4,224 8,452
Non-cash lease expense
583 -
Deferred income tax
-0
Provision for (recovery of) credit losses
208 340
Amortization of debt issuance costs and debt discount
1,128 2,564
Loss on extinguishment of debt
-7,750 -
Stock-based compensation
3,271 5,431
Accounts receivable
-1,014 -37,211
Inventories
1,282 850
Prepaid expenses and other current assets
1,327 -3,776
Accounts payable, accrued expenses, accrued rebates and copay assistance
-3,040 -24,009
Accrued payroll and related liabilities
2,694 -2,672
Deferred revenue and customer deposits
254 47
Net cash provided by (used in) operating activities
16,588 18,865
Investment in patent and trademark assets
-147 169
Net proceeds on sale of investment in eton pharmaceuticals
-0
Purchase of product rights and related patents
162 -
Purchases of property, plant and equipment
210 336
Net cash (used in) provided by investing activities
-225 -505
Proceeds from new debt, net of costs
244,375 -
Payment of debt issuance costs
1,581 0
Repayment of notes payable, including exit costs
230,901 -
Payment of payroll taxes upon vesting of psus, rsus and exercise of stock options
7,091 12,769
Proceeds from exercise of stock options
162 125
Net cash used in financing activities
4,964 -12,644
Net change in cash and cash equivalents
21,327 5,716
Cash and cash equivalents at beginning of period
47,247 -
Cash and cash equivalents at end of period
74,290 -
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

Loss onextinguishment of debt-$7,750K Amortization of intangibleassets$4,224K Stock-based compensation$3,271K Accrued payroll andrelated liabilities$2,694K Proceeds from new debt,net of costs$244,375K Amortization of debt issuancecosts and debt...$1,128K Net loss$1,020K Accounts receivable-$1,014K Non-cash lease expense$583K Depreciation andamortization of property,...$490K Deferred revenue andcustomer deposits$254K Proceeds from exercise ofstock options$162K Net cash provided by(used in) operating...$16,588K Net cash used infinancing activities$4,964K Canceled cashflow$5,649K Canceled cashflow$239,573K Net change in cashand cash...$21,327K Canceled cashflow$225K Accounts payable,accrued expenses,...-$3,040K Prepaid expenses andother current assets$1,327K Inventories$1,282K Repayment of notespayable, including exit...$230,901K Payment of payroll taxesupon vesting of psus,...$7,091K Payment of debt issuancecosts$1,581K Investment in patent andtrademark assets-$147K Net cash (used in)provided by investing...-$225K Canceled cashflow$147K Purchases of property,plant and equipment$210K Purchase of productrights and related...$162K

HARROW, INC. (HROWL)

HARROW, INC. (HROWL)