American Financial Group AFG Cash Flow Statement
| Q1 '26 | Q4 '25 | Q3 '25 | Q2 '25 | Q1 '25 | ||
|---|---|---|---|---|---|---|
| $191M-36.1% | $299M+39.1% | $215M+23.6% | $174M+13.0% | $154M-39.6% | ||
| $25M+13.6% | $22M+10.0% | $20M-9.1% | $22M0.0% | $22M+4.8% | ||
| $27M+156% | -$48M-300% | -$12M— | —— | -$24M-118% | ||
| -$3M— | —— | $144M+227% | $44M+393% | -$15M+88.9% | ||
| $8M— | —— | -$13M-44.4% | -$9M-229% | $7M— | ||
| -$5M— | —— | $1.67B+827% | $180M+317% | -$83M— | ||
| $474M-39.5% | $784M+263% | $216M+13.1% | $191M-44.2% | $342M-49.3% | ||
| $1.03B-31.1% | $1.49B+234% | $447M-13.5% | $517M-2.3% | $529M-32.8% | ||
| $48M+4.3% | $46M+43.8% | $32M+3.2% | $31M+107% | $15M+87.5% | ||
| $0+100% | -$6M-100% | -$3M-400% | $1M0.0% | $1M— | ||
| $38M-15.6% | $45M+400% | $9M— | $0-100% | $11M-76.1% | ||
| -$613M+19.8% | -$764M-488% | -$130M-461% | $36M+56.5% | $23M— | ||
| $198M-17.2% | $239M+262% | $66M-2.9% | $68M-70.8% | $233M-42.2% | ||
| $60M+5,900% | $1M0.0% | $1M-97.4% | $39M-32.8% | $58M— | ||
| $2M-33.3% | $3M+50.0% | $2M-50.0% | $4M+33.3% | $3M-25.0% | ||
| -$235M-74.1% | -$135M— | —— | -$235M+52.5% | -$495M+13.0% | ||
| -$374M— | —— | $574M+7,275% | -$8M+93.8% | -$130M-255% | ||
| -$162M— | —— | -$71M— | —— | -$42M-423% | ||
| -$5M— | —— | $1.67B+827% | $180M+317% | -$83M— | ||
| $27M+156% | -$48M-300% | -$12M— | —— | -$24M-118% | ||
| -$130M— | —— | $425M— | —— | -$163M— | ||
| -$228M— | —— | $2.32B— | —— | -$349M— | ||
| $12M+1,100% | $1M-75.0% | $4M— | —— | $7M+800% | ||
| -$13M— | —— | $13M+225% | $4M+100% | $2M+120% | ||
| $0+100% | -$6M-100% | -$3M-400% | $1M0.0% | $1M— | ||
| $38M-15.6% | $45M+400% | $9M— | $0-100% | $11M-76.1% | ||
| $15M— | —— | $134M+59.5% | $84M+37.7% | $61M+22.0% | ||
| $38M-28.3% | $53M+8.2% | $49M-14.0% | $57M-12.3% | $65M-37.5% | ||
| $570M-28.8% | $801M+25.2% | $640M+15.3% | $555M+25.9% | $441M-36.5% | ||
| $0— | —— | $69M+6,800% | $1M-95.8% | $24M0.0% | ||
| $48M+4.3% | $46M+43.8% | $32M+3.2% | $31M+107% | $15M+87.5% | ||
| $46M+24.3% | $37M-45.6% | $68M+580% | $10M+100% | $5M-76.2% | ||
| $242M-46.5% | $452M-3.8% | $470M+4.0% | $452M-37.0% | $718M+7.2% | ||
| $7M— | —— | —— | $2M— | $0-100% | ||
| $415M-21.0% | $525M-29.1% | $740M+120% | $337M-32.6% | $500M+0.6% | ||
| $17M-52.8% | $36M-12.2% | $41M+24.2% | $33M+32.0% | $25M-24.2% | ||
| $391M-27.5% | $539M-59.6% | $1.34B+276% | $355M-53.5% | $764M+35.7% | ||
| $370M-15.3% | $437M-61.2% | $1.13B+131% | $487M-49.8% | $971M+32.5% |
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- How much cash does American Financial Group generate?
- American Financial Group (AFG) generated $1.7B in operating cash flow over the trailing twelve months.
- Where does American Financial Group's cash flow data come from?
- Every line is extracted from American Financial Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.
