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Barnes Group B Cash Flow Statement

TTM Q3 '24TTM Q2 '24TTM Q1 '24TTM Q4 '23TTM Q3 '23
-$39.8M-263%-$59.39M-194%$4.79M-22.2%$16M+18.7%$24.35M-6.5%
$126.46M+23.6%$128.47M+36.4%$122.78M+30.8%$115.82M+25.7%$102.32M+11.1%
$12.61M+10.8%$11.83M+1.8%$11M-14.7%$10.2M-20.3%$11.38M-3.6%
$91.19M-11.5%$73M-33.3%$77.89M-33.5%$112.42M+48.8%$103.07M+23.5%
$60.16M+18.3%$63.98M+48.2%$57.63M+49.2%$55.74M+58.9%$50.83M+75.1%
$718.62M$718.78M$718.78M
$102.03M+113%-$628.64M-1,359%-$768.9M-1,880%-$767.52M-2,033%-$762.39M-2,433%
$32.47M+0.2%$32.45M+0.2%$32.43M+0.2%$32.41M+0.1%$32.4M0.0%
$183.38M-82.0%$1.03B+761%$1.08B+1,041%$1.02B+938%$1.02B+841%
$366.91M+23.9%$434.45M+188%$340.41M+189%$314.17M+190%$296.22M+140%
-$177.95M-126%$573.4M+989%$723.61M+1,064%$692.39M+1,168%$674.23M+1,026%
-$10.79M$3.38M$11.06M
$31.04M-41.1%$9.02M-86.5%$20.67M-73.7%$57.1M+41.1%$52.66M-3.3%

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Questions, answered.

How much cash does Barnes Group generate?
Barnes Group (B) generated $91.2M in operating cash flow over the trailing twelve months.
What is Barnes Group's free cash flow?
After $60.2M of capital expenditures, Barnes Group's free cash flow was $31.0M over the trailing twelve months, down 41.1% year over year.
Where does Barnes Group's cash flow data come from?
Every line is extracted from Barnes 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.