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CACI International CACI Cash Flow Statement

Q3 '26Q2 '26Q1 '26Q4 '25Q3 '25
$130.39M+5.3%$123.86M-0.8%$124.81M-20.9%$157.86M+41.1%$111.86M+1.7%
$58.77M+8.8%$54.03M-0.5%$54.3M-2.8%$55.86M+1.6%$54.96M+10.8%
$19.56M+2.3%$19.11M+30.1%$14.69M-8.6%$16.07M+25.9%$12.77M-20.0%
$183.18M+18.8%$154.2M-9.9%$171.07M+9.7%$155.98M-32.3%$230.32M+82.7%
$26.82M+67.2%$16.04M-5.7%$17.01M-39.2%$27.96M+72.2%$16.24M+63.6%
$2.64B-$15.8M-129%$53.67M-26.2%$72.69M-95.4%
-$2.67B-16,695%-$15.89M-1,209%-$1.21M+98.5%-$81.64M+8.2%-$88.93M+94.4%
$3.7M-24.9%$4.93M+20.6%$4.09M-10.5%$4.57M-97.0%$153.65M+2,061%
$3.04B+105%$1.48B+174%$541M-77.2%$2.38B+59.8%$1.49B-51.4%
$806.19M-37.6%$1.29B+89.3%$682.69M-73.3%$2.56B+78.4%$1.43B-21.0%
$2.22B+1,366%$151.52M+207%-$142.24M
$289.96M+980%$26.84M+123%-$117.72M-344%$48.19M+118%
$156.37M+13.2%$138.15M-10.3%$154.05M+20.3%$128.02M-40.2%$214.08M+84.4%

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Questions, answered.

How much cash does CACI International generate?
CACI International (CACI) generated $664.4M in operating cash flow over the trailing twelve months.
What is CACI International's free cash flow?
After $87.8M of capital expenditures, CACI International's free cash flow was $576.6M over the trailing twelve months, up 18.1% year over year.
Where does CACI International's cash flow data come from?
Every line is extracted from CACI International'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.