Interactive Strength Stock

Interactive Strength Net Debt/FCF

The Net Debt to Free Cash Flow Ratio of Interactive Strength (TRNR) as of Jul 25, 2026 is -0.61. In the previous year, Net Debt to Free Cash Flow Ratio was -0.47 — a change of 29.18% (lower).

Net Debt/FCF

-0.61

YoY

29.18%

Last updated:

Net Debt to Free Cash Flow Ratio of Interactive Strength is 2026 -0.61 . Net Debt to Free Cash Flow Ratio of Interactive Strength was 2025 -0.47 . It decreases by 29.18% lower compared to the previous year.
Access this data via the Eulerpool API

Interactive Strength Stock analysis

What does Interactive Strength do? Interactive Strength is one of the most popular companies on Eulerpool.

Frequently Asked Questions about Interactive Strength stock

Net Debt to Free Cash Flow Ratio of Interactive Strength is -0.61 in 2026.

Access this data via the Eulerpool API

Leverage — Interactive Strength

All Key Metrics — Interactive Strength