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Caleres CAL Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$2.07M-103%-$9.88M-109%$18.35M-88.4%$58.03M-64.6%$81.25M-51.6%
$49.59M+19.2%$48.29M+20.0%$45.87M+14.5%$43.24M+12.6%$41.62M+12.2%
$12.33M-13.6%$12.43M-17.9%$13.9M-8.4%$14.15M-10.8%$14.28M-8.5%
-$4.32M-122%-$4.64M-123%$19.11M+274%$19.23M+270%$19.35M+267%
$636K+56.3%$567K+39.3%$464K+14.0%$416K+2.2%$407K0.0%
$1.73M-8.7%$1.72M-7.8%$1.87M+24.9%$1.77M+55.6%$1.9M+98.5%
$6.39M+4,600%$3.29M+882%-$496K-62.1%-$217K+45.6%-$142K+87.6%
$6.02M$7.51M$4.13M
-$46.21M-$37.81M
-$27.51M+49.8%-$51.75M-260%-$49.17M-$100.22M-$54.83M
$4.09M
-$2.56M
$642K+249%
-$1.7M
$11.49M+3.4%$11.38M+2.4%$11.22M-0.9%$11.12M-3.5%$11.12M-5.2%
$13.4M-$16.28M
$82.25M$104.37M$70.35M
$54.4M-9.2%$63.74M+29.7%$54.81M+11.8%$61.14M+21.2%$59.89M+23.1%
$81.95M+201%$108.86M$81.64M$54.43M$27.21M
$15.41M+303%$15.27M$11.45M$7.64M$3.82M
-$148.96M-138%-$161.48M-212%-$167.03M-218%-$63.95M-17.2%-$62.51M-17.1%
$9.44M-1.8%$9.45M-2.5%$9.46M-3.6%$9.52M-3.4%$9.61M-3.0%
$3.13M$5.05M
$839.25M+27.8%$849.5M+32.8%$851M+20.7%$976.5M+66.3%$656.87M+25.1%
$750.25M+27.3%$772.5M+28.2%$734.5M+6.7%$735.5M+7.4%$589.37M-5.8%
-$2.88M+36.0%-$3.86M+58.4%-$4.03M+59.2%-$4.15M+56.5%-$4.5M+49.7%
$1.75M-53.3%$2.65M+32.5%$3.15M$3.75M$3.75M
$41K-$22K-124%
$636K+56.3%$567K+39.3%$464K+14.0%$416K+2.2%$407K0.0%
$11.49M+3.4%$11.38M+2.4%$11.22M-0.9%$11.12M-3.5%$11.12M-5.2%
$4.92M-2.9%$4.93M-4.2%$4.92M-6.3%$4.99M-4.2%$5.07M-1.9%
$49.59M+19.2%$48.29M+20.0%$45.87M+14.5%$43.24M+12.6%$41.62M+12.2%
$6.39M+4,600%$3.29M+882%-$496K-62.1%-$217K+45.6%-$142K+87.6%
$1.73M-8.7%$1.72M-7.8%$1.87M+24.9%$1.77M+55.6%$1.9M+98.5%
-$27.51M+49.8%-$51.75M-260%-$49.17M-$100.22M-$54.83M
-$1.7M
$4.09M
-$2.56M
$6.02M$7.51M$4.13M
$4.62M+76.5%$4.15M+63.3%$3.36M-5.3%$2.81M-31.8%$2.62M-45.0%
$15.41M+303%$15.27M$11.45M$7.64M$3.82M
$41K-$22K-124%
$26.66M$39.43M$14.35M
$26.66M$39.43M$14.35M

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Questions, answered.

How much cash does Caleres generate?
Caleres (CAL) generated $82.2M in operating cash flow over the trailing twelve months.
What is Caleres's free cash flow?
After $54.4M of capital expenditures, Caleres's free cash flow was $26.7M over the trailing twelve months, down 69.2% year over year.
Where does Caleres's cash flow data come from?
Every line is extracted from Caleres'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.