Tessera Defense & Homeland Security HLSQ Cash Flow Statement (2018-2026)

NYSE HLSQ
$0.43 -0.05 (-10.05%)
As of: Sep 29, 2026 · 3:59 PM EDT
Reported Financials

Tessera Defense & Homeland Security Quarterly Cash Flow Statement

Periods 31 quarters
Latest Jun 2026

Tessera Defense & Homeland Security reported cash from operations of -$1.17M and free cash flow of -$1.17M for the quarter ended Jun 2026, up 80.8% year over year. This cash flow statement covers 31 quarters of results from Sep 2018 through Jun 2026, standardized by Business Quant from the company’s SEC filings.

Cash Flow Statement Sep2018 Dec2018 Mar2019 Jun2019 Sep2019 Mar2020 Jun2020 Sep2020 Dec2020 Mar2021 Jun2021 Sep2021 Dec2021 Mar2022 Jun2022 Sep2022 Dec2022 Mar2023 Jun2023 Sep2023 Dec2023 Mar2024 Jun2024 Sep2024 Dec2024 Mar2025 Jun2025 Sep2025 Dec2025 Mar2026 Jun2026
Operating Activities
Net Income
-10.03M-10.46M-8.17M-7.48M-6.78M-5.89M-6.36M-6.41M-7.91M-5.49M-17.33M4.47M9.64M-14.51M-7.66M-6.04M-9.17M-13.34M-19.14M-3.85M
Depreciation and DepletionDep. & Depletion
0.62M-0.76M0.63M0.64M0.63M-0.99M0.23M0.33M0.32M0.92M0.24M0.29M1.24M1.15M
Share-based CompensationStock Comp.
1.03M0.58M0.61M0.18M0.36M0.37M0.17M0.27M0.20M0.42M0.73M0.35M0.77M0.66M0.70M0.44M0.30M-1.93M3.99M
Deferred Taxes
Gains from Sales and DivestituresGains Divest
-0.05M-0.08M-0.06M-0.11M-0.04M
Asset Writedowns and ImpairmentWritedown
0.80M3.25M
Cash from OperationsCash from Ops.
-5.68M-9.09M-7.36M-9.09M-5.48M-7.17M-5.04M-4.08M-5.92M-6.24M-11.36M-11.24M-8.10M-6.29M-8.71M-6.11M-7.18M-4.39M-5.41M-1.17M
Depreciation, Depletion & Amortization
Depreciation & Amortization (CF)Dep. & Amort.
0.62M-0.76M0.63M0.64M0.63M0.62M0.22M0.22M0.22M0.21M0.23M0.33M0.32M0.92M0.24M0.29M1.24M1.15M
Change in Working Capital
Change in Account PayablesChange Payables
2.52M-1.09M-1.40M-1.66M-0.37M0.13M0.81M0.55M2.00M-2.16M-1.77M-1.15M0.23M-0.48M-1.08M-1.33M-0.43M-0.60M-1.20M-0.37M
Change in Accured ExpensesChange Accured Exp.
Change in TaxesChange Taxes
Other Working Capital ChangesOther WC Changes
-1.12M4.08M-1.18M-0.76M-0.60M1.58M0.17M-0.23M-0.62M-0.14M-1.38M0.58M1.02M-1.05M-0.24M-0.85M-0.66M-0.49M1.41M0.01M
Investing Activities
Capital ExpendituresCapex
1.31M0.10M0.02M0.05M0.01M0.03M0.01M0.00M0.03M0.01M0.01M0.01M
Sales of Property, Plant and EquipmentPP&E (Sale)
0.01M0.01M0.05M0.06M0.00M
Acquisitions
-0.66M
Change in Acquisitions & DivestmentsChange Acquisitions
10.00M1.50M2.00M-2.00M
Cash from Investing ActivitiesCash from Investing
-1.31M-0.10M-10.02M1.95M4.50M1.47M1.99M-0.00M-0.03M-0.01M0.66M0.05M-0.00M-0.00M0.05M0.06M-0.00M0.00M-1.00M-0.56M
Financing Activities
Other financing activitiesOther financing
0.09M0.03M
Cash from Financing ActivitiesCash from Financing
28.06M3.98M0.04M0.02M0.24M1.05M4.48M-1.31M-1.32M38.98M-0.20M-0.40M11.91M-0.03M0.05M1.25M2.62M0.91M
Debt Issuance and Repayment
Current Debt
Change in Capital Stock
Net Preferred Shares Issued and RepurchasedNet Pref. Shares Issued
Net Equity Issued and RepurchasedNet Equity Issued
8.63M3.97M0.04M-0.02M1.47M6.02M28.75M4.53M2.62M-0.00M
Additional items
Exchange Rate EffectFX Effect
0.01M-0.02M-0.00M0.08M0.06M-0.03M0.01M-0.04M-0.01M0.04M-0.03M-0.01M0.04M0.01M0.00M0.04M0.01M0.02M
Change in Cash
21.07M-5.21M-17.35M-7.12M-0.74M-5.70M-2.00M0.40M-7.26M-7.57M28.28M-11.39M-8.10M-6.69M3.25M-6.08M-7.13M-3.13M-3.79M-0.82M
Free Cash FlowFCF
-7.00M-9.19M-7.38M-9.14M-5.48M-7.20M-5.05M-4.08M-5.95M-6.25M-11.36M-11.24M-8.11M-6.30M-8.71M-6.11M-7.18M-4.39M-5.41M-1.17M
Net Cash FlowNCF
21.07M-5.21M-17.35M-7.12M-0.74M-5.70M-2.00M0.40M-7.26M-7.57M28.28M-11.39M-8.10M-6.69M3.25M-6.08M-7.13M-3.13M-3.79M-0.82M

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