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AAR Corp AIR Cash Flow Statement

TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
$171M+81.7%$94.1M+226%$28.9M+131%$12.5M+201%-$12.4M-218%
$64.8M+10.6%$58.6M+5.6%$55.5M+0.5%$55.2M-1.8%$56.2M+11.1%
$17.6M-9.7%$19.5M-3.5%$20.2M+1.5%$19.9M+2.6%$19.4M+11.5%
$3M+3.4%$2.9M+11.5%$2.6M0.0%$2.6M0.0%$2.6M
-$50.68M+26.5%-$68.9M
$2.7M+35.0%$2M+233%$600K+200%$200K+300%-$100K-150%
$75.7M+26.0%$60.1M-11.1%$67.6M-18.4%$82.8M
$146.3M+33.9%$109.3M+42.7%$76.6M-7.9%
$63.6M-12.9%$73M
$63.7M
$5M+22.0%$4.1M-32.8%$6.1M+13.0%$5.4M
$9.8M-72.9%$36.1M+292%$9.2M-81.0%
$34.6M0.0%$34.6M-2.5%$35.5M+2.3%$34.7M+7.8%$32.2M+9.2%
$226.4M
$8.4M+1,300%$600K-85.0%$4M+264%$1.1M+320%-$500K-126%
-$224.2M-5.2%-$213.2M-2,633%-$7.8M-173%$10.7M+101%-$748.6M+0.4%
$2.58M+2,475%$100K-99.0%$9.58M
-$287M-56.7%-$183.2M-61.8%-$113.2M-434%-$21.2M-110%$203.8M
$225.5M
$28.5M+118%$13.1M-24.3%$17.3M+147%
$3M+3.4%$2.9M+11.5%$2.6M0.0%$2.6M0.0%$2.6M
-$50.68M+26.5%-$68.9M-32.8%-$51.88M-45.5%
$5M+22.0%$4.1M-32.8%$6.1M+13.0%$5.4M
$55.4M+73.7%
$56.7M+167%$21.2M-12.4%$24.2M+63.5%$14.8M+164%
$63.7M
$26.1M+24.9%
$2.7M+35.0%$2M+233%$600K+200%$200K+300%-$100K-150%
$8.4M+1,300%$600K-85.0%$4M+264%$1.1M+320%-$500K-126%
-$2.1M+44.7%-$3.8M-135%$11M+112%
-$287M-56.7%-$183.2M-61.8%-$113.2M-434%-$21.2M-110%$203.8M
-$25.7M-1,936%$1.4M+106%-$23M

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Questions, answered.

How much cash does AAR Corp generate?
AAR Corp (AIR) generated $62.5M in operating cash flow over the trailing twelve months.
What is AAR Corp's free cash flow?
After $34.6M of capital expenditures, AAR Corp's free cash flow was $26.8M over the trailing twelve months, up 213.6% year over year.
Where does AAR Corp's cash flow data come from?
Every line is extracted from AAR Corp'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.