Piotroski F-score
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FFAI reported revenue of $536K and net income of −$390.7M in FY2025.
| Fiscal year | Revenue | Net income |
|---|---|---|
| 2025 | $536K | −$390.7M |
| 2024 | $539K | −$355.85M |
| 2023 | $784K | −$431.74M |
3 more years are on Measure
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Also filed under Auto Manufacturers, ranked by how closely they sit beside FFAI.
The assistant answers from what FFAI has actually filed: 6 annual reports filed with the SEC, 17 Form 4 filings from the last year and 1 fund that holds it. Every figure in a reply links to the filing it came from, so an answer can be checked rather than believed.
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Cash flow breakdown
What the business generated, and where it went
Operating cash flow
−$107.58M 2025
Cash generated by the business itself
Free cash flow
−$115.22M 2025
Operating cash flow minus capital expenditure
Capital expenditure
$7.64M 2025
Spending on property, plant and equipment
FFAI generated −$107.58M of operating cash flow. Each figure below is what it did with that, as reported on the same statement.
Reinvested in the business
A non-cash cost, added back above
As reported in the company's own annual filings.
| Fiscal year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|---|
| Operating cash flow | −$107.58M | −$70.19M | −$278.18M | −$383.06M | −$339.77M | −$41.17M |
| Capital expenditure | $7.64M | $7.58M | $31.11M | $123.22M | $95.68M | $607K |
| Free cash flow | −$115.22M | −$77.77M | −$309.29M | −$506.28M | −$435.45M | −$41.77M |
| Stock-based compensation | $3.15M | $8.38M | $9.17M | $17.66M | $11.35M |
Financial statements
Every figure below is this company’s, as filed. Measure draws them: 6 years and 23 quarters plotted to scale, on the income statement, balance sheet and cash flow, plus the ratio and estimate sections this page does not carry.
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As reported in the company's own annual filings.
| Fiscal year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|---|
| Revenue | $536K | $539K | $784K | $0 | - | - |
| Gross profit | −$97.77M | −$83.49M | −$41.82M | $0 | - | - |
| Research and development | $16.6M | $25.23M | $132.02M | $299.99M | $174.94M | $20.19M |
| Selling, general and administrative | $55.73M | $43.16M | $82.89M | $112.77M | $97.91M | $41.07M |
| Operating income | −$331.05M | −$149.74M | −$286.05M | −$437.14M | −$354.15M | −$64.94M |
| Net income | −$390.7M | −$355.85M | −$431.74M | −$602.24M | −$516.51M | −$147.09M |
| Gross margin | −18239.93% | −15489.80% | −5334.57% | - | - | - |
| Operating margin | −61763.06% | −27780.71% | −36486.48% | - | - | - |
| Net margin | −72891.04% | −66019.85% | −55069.39% | - | - | - |
Total assets
Plotted to scale onMeasure
Total liabilities
Plotted to scale onMeasure
Cash
Plotted to scale onMeasure
Current assets
Plotted to scale onMeasure
Current liabilities
Plotted to scale onMeasure
As reported in the company's own annual filings.
| Fiscal year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|---|
| Total assets | $277.86M | $425.4M | $530.54M | $529.29M | $907.43M | $316.38M |
| Current assets | $68.52M | $71.88M | $91.36M | $84.53M | $607.26M | $14.44M |
| Cash | $34.93M | $7.14M | $1.9M | $16.97M | $505.09M | $1.12M |
| Total liabilities | $270.1M | $310.43M | $302.3M | $328.3M | $339.78M | $895.72M |
Derived from SEC XBRL filings. Not investment advice.
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The charts, to scaleMeasure
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Revenue, margins and cash flow quarter by quarter, where a change in direction shows up first.
Quarterly statementsMeasure
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| $9.51M |
| Buybacks | - | - | $0 | $767K | $0 | - |
|---|
| Current liabilities | $148.17M | $192.71M | $261.18M | $268.25M | $293.81M | $849.05M |
|---|
| Shareholder equity | −$27.34M | $114.97M | $228.24M | $200.99M | $567.65M | −$579.34M |
|---|