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TopBuild Corporation BLD Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$503.16M-15.2%$521.73M-16.2%$567.75M-8.2%$594.48M-3.7%$593.61M-5.9%
$189.88M+33.7%$169.37M+20.6%$149.73M+7.4%$142.88M+3.9%$142.03M+5.2%
$16.23M-1.6%$16.64M+0.4%$17.3M-4.8%$16.63M-11.1%$16.49M-7.5%
$764.47M+2.0%$756.32M-2.5%$845.82M+9.7%$853.18M+16.4%$749.84M-12.6%
$60.04M-4.5%$59.43M-14.3%$54.62M-24.9%$58.29M-15.9%$62.86M-8.0%
$1.96B+1,616%$1.93B+1,313%$899.49M+899%$69.83M-63.5%$114.23M-9.0%
-$2.02B-1,048%-$1.99B-878%-$952.87M-495%-$127.07M+48.0%-$175.86M+1.0%
$434.15M$464.31M$812.73M
$520M+1,025%$515.63M+996%$511.39M+964%$510.67M+1,030%$46.23M+8.9%
$1.25B+202%$1.05B+204%$994.84M+203%-$345.23M+37.4%-$1.23B-2,583%
-$39.96M-$215.58M
$704.43M+2.5%$696.89M-1.4%$791.2M+13.3%$794.89M+19.8%$686.98M-13.1%

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Questions, answered.

How much cash does TopBuild Corporation generate?
TopBuild Corporation (BLD) generated $764.5M in operating cash flow over the trailing twelve months.
What is TopBuild Corporation's free cash flow?
After $60.0M of capital expenditures, TopBuild Corporation's free cash flow was $704.4M over the trailing twelve months, up 2.5% year over year.
Where does TopBuild Corporation's cash flow data come from?
Every line is extracted from TopBuild Corporation'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.