Skip to content

Avnet AVT Cash Flow Statement

FY'25FY'24FY'23FY'22
$240.22M-51.8%$498.7M-35.3%$770.83M+11.3%$692.38M+259%
$71.62M-17.4%$86.71M$102.33M
$36.4M+8.7%$33.5M-13.6%$38.78M+5.6%$36.74M+25.2%
$105.41M+981%$9.75M$52.51M+458%
$1.13B+84.0%
-$409.55M$1.17B-3.8%$1.22B+198%
$101.7M+2,162%$4.5M$1.13B
-$292.63M-13.3%-$258.28M-997%$28.79M-79.6%$141.38M+357%
-$26.71M-$53.17M
$724.5M+5.0%$689.98M
$147.47M-34.9%$226.48M+16.3%$194.67M+298%$48.9M-2.9%
-$10.35M-942%-$994K-106%$16.88M
-$137.13M+39.2%-$225.48M-6.6%-$211.55M-512%$51.39M+184%
$113.31M+1.2%$111.93M+5.3%$106.32M+8.0%$98.43M+16.7%
$303.49M+86.5%$162.72M-26.6%$221.73M+20.3%$184.38M
$299.97M+0.8%
-$16.85M-47.1%
-$693.53M-59.9%-$433.8M$156.06M+150%
-$7.99M-$34.05M
$22.71M
$53.58M-0.4%$53.8M-1.1%$54.39M+2.9%$52.88M-6.9%
$101.7M+2,162%$4.5M$1.13B
$105.41M+981%$9.75M$52.51M+458%
-$26.71M-$53.17M
-$10.35M-942%-$994K-106%$16.88M
$498.62M+66.2%$299.97M+0.8%
-$16.85M-47.1%
$274.9M+1,100%
-$2.45M$235.05M
-$7.99M-$34.05M
$577.03M+24.5%$463.51M
$577.03M+24.5%$463.51M

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

What is Avnet's free cash flow?
After $116.4M of capital expenditures, Avnet's free cash flow was $32.9M over the trailing twelve months, down 95.6% year over year.
Where does Avnet's cash flow data come from?
Every line is extracted from Avnet'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.