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Autoliv ALV Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$711M-3.4%$736M-2.4%$754M+5.0%$718M+4.2%$689M+6.2%
$419M+2.9%$407M+2.5%$397M+1.8%$390M+1.0%$386M-0.3%
$10M+150%
$25M
-$40M-134%$119M+109%$57M+90.0%$30M
-$55M-358%
-$26.25M+60.8%
-$61M-38.6%-$44M-46.7%-$30M
$47M+9.3%$43M+617%
$0$0
$1B-13.2%$1.16B+12.0%$1.03B+8.5%$952M-6.1%$1.01B-4.2%
$424M-3.9%$441M-4.5%$462M-8.0%$502M-7.2%$541M-6.6%
$11M-38.9%$18M0.0%$18M0.0%$18M-28.0%$25M+47.1%
-$414M+2.1%-$423M+4.9%-$445M+8.2%-$485M+6.0%-$516M+8.3%
$249M+4.6%$238M+4.4%$228M+5.6%$216M-0.5%$217M-0.9%
$301M-14.2%$351M+15.8%$303M-9.0%$333M-24.7%$442M-19.9%
$482M-7.5%$521M
$0$0-100%$1M0.0%$1M0.0%$1M0.0%
$1M0.0%$1M0.0%$1M-75.0%$4M-20.0%$5M0.0%
$214M
-$519M-40.7%-$369M+49.9%-$737M-24.7%-$591M+18.5%-$725M-5.1%
-$51M+43.3%-$90M-125%-$40M+31.0%-$58M-93.3%-$30M-288%
$19M-93.1%$274M+245%-$189M-6.2%-$178M+29.6%-$253M-45.4%
$0$0
-$26.25M+60.8%
-$61M-38.6%-$44M-46.7%-$30M
$11M-38.9%$18M0.0%$18M0.0%$18M-28.0%$25M+47.1%
$301M-14.2%$351M+15.8%$303M-9.0%$333M-24.7%$442M-19.9%
$214M
$580M-19.0%$716M+25.4%$571M+26.9%$450M-4.9%$473M-1.5%
$580M-19.0%$716M+25.4%$571M+26.9%$450M-4.9%$473M-1.5%

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Questions, answered.

How much cash does Autoliv generate?
Autoliv (ALV) generated $1.0B in operating cash flow over the trailing twelve months.
What is Autoliv's free cash flow?
After $424.0M of capital expenditures, Autoliv's free cash flow was $580.0M over the trailing twelve months, up 22.6% year over year.
Where does Autoliv's cash flow data come from?
Every line is extracted from Autoliv'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.