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First Busey Corporation BUSE Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$63.18M+33.3%$49.98M+267%$60.75M+116%$57.1M+78.4%$47.4M+73.3%
$3.55M+3.5%$3.58M+35.1%$3.42M+47.6%$3.42M+46.7%$3.43M+38.8%
$2.56M-52.8%$4.14M+21.9%$4M+110%$4.3M+87.6%$5.43M+379%
$41.49M-16.2%$51.54M+515%$72.19M+38.0%$62.49M+3.9%$49.51M+73.9%
$2.28M-32.6%$2.46M+36.8%$6.44M+234%$8.01M+710%$3.38M+57.0%
$0—$0+100%——————
$230.16M+105%$55.21M-91.0%$18.46M-52.7%$355.83M+32.8%$112.46M+10.3%
$26.67M+18.0%$27.2M+91.2%$26.73M+95.8%$27.44M+101%$22.6M+66.0%
$63.76M+194%$66.15M+1,268%$29.82M—$13.55M—$21.66M—
$9.49B—$5.28B—————$0—
$9.66B+86,430%$5.11B—————$11.16M+24.0%
$105.27M+117%-$98.51M+15.0%-$182.07M—-$786.07M-1,217%-$609.64M-39.7%
$376.91M+184%$8.24M-98.4%-$91.42M—-$367.76M—-$447.67M-46.4%
$39.21M-15.0%$49.08M+645%$65.75M+30.5%$54.48M-7.9%$46.14M+75.3%

FAQ

How much cash does First Busey Corporation generate?
First Busey Corporation (BUSE) generated $227.7M in operating cash flow over the trailing twelve months.
What is First Busey Corporation's free cash flow?
After $19.2M of capital expenditures, First Busey Corporation's free cash flow was $208.5M over the trailing twelve months, up 28.5% year over year.
Where does First Busey Corporation's cash flow data come from?
Every line is extracted from First Busey 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.