Stocks / DAVE / Free Cash Flow

Dave Inc. Free Cash Flow 2021–2025

Dave Inc. reported $289.71M of free cash flow for fiscal 2025. That was 132.0% higher than fiscal 2024. Compared with fiscal 2021, the change was +31866.0%.

Latest filed value
$289.71M
One-year change
+132.0%
Change since 2021
+31866.0%
Latest period end
2025
Dave Inc. Free Cash Flow history from 2021 to 2025FY 2021: -912000FY 2022: -45611000FY 2023: 33066000FY 2024: 124875000FY 2025: 289706000
Annual filed history. Hover chart points for raw values; the accessible table below is the source of record.
Fiscal yearFree Cash FlowChange (YoY)
FY 2025$289.71M+132.0%
FY 2024$124.88M+277.7%
FY 2023$33.07M+172.5%
FY 2022$-45.61M-4901.2%
FY 2021$-912,000

Source: Dave Inc. SEC filings — cash flow statement (10-K). Computed deterministically; refreshed nightly (last updated August 2, 2026). Open DAVE 10-K filings at SEC EDGAR · Methodology · Download CSV.

How to read this history

Dave Inc. reported $289.71M of free cash flow for fiscal 2025. That was 132.0% higher than fiscal 2024. Compared with fiscal 2021, the change was +31866.0%. Values remain missing when the cached filing does not disclose a comparable line item; they are never estimated. Stock splits, reorganizations and fiscal-calendar changes can reduce comparability.

Prepared and reviewed by the stockportfolio.pro research desk. Corrections: support@stockportfolio.pro.

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Dave Inc. — frequently asked questions

What is Dave Inc.'s free cash flow?

Dave Inc. (DAVE) reported free cash flow of $289.71M for fiscal year 2025, per its SEC filings.

Where does this data come from?

Figures are computed from Dave Inc.'s official SEC filings (cash flow statement (10-K)), refreshed nightly. Not investment advice.

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