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CrossAmerica Partners CAPL Cash Flow Statement

FY'25FY'24FY'23FY'22
$41.83M+86.3%$22.45M-47.3%$42.59M-33.1%$63.7M+194%
$89.59M+17.9%$75.98M-1.5%$77.16M-4.3%$80.63M+3.6%
$1.85M+22.9%$1.51M-50.2%$3.03M+32.1%$2.29M+75.0%
$1.57M
$1.94M+0.1%$1.94M-41.1%$3.29M+17.9%$2.79M+49.7%
$44.23M+791%$4.97M$1.14M-43.9%
$232K-8.3%
-$14.59M-976%
$91.5M+4.2%$87.78M-25.0%$117.08M-27.4%$161.32M+69.0%
$35.73M+35.8%$26.32M-24.0%$34.63M+14.1%$30.35M-27.5%
$104.05M$6.23M-53.3%$13.34M-13.1%
$68.44M-$28.18M+39.3%-$46.4M+84.5%
$80.01M+0.2%$79.85M+0.2%$79.71M+0.1%$79.63M+0.1%
$77.8M-31.2%$113M-53.1%$240.9M+111%$114.1M-41.5%
$3.26M+5.8%$3.08M+6.6%$2.89M+6.1%$2.72M+4.6%
$7.11M
-$160.18M-119%-$73.08M+26.9%-$99.97M+6.1%-$106.51M-150%
-$244K+84.8%-$1.61M$8.41M
$1.94M+0.1%$1.94M-41.1%$3.29M+17.9%$2.79M+49.7%
$44.23M+791%$4.97M$1.14M-43.9%
-$14.59M-976%
$232K-8.3%
$118K-22.4%$152K-28.6%$213K+4.9%$203K-74.4%
$104.05M$6.23M-53.3%$13.34M-13.1%
$3.26M+5.8%$3.08M+6.6%$2.89M+6.1%$2.72M+4.6%
$284K+9.2%$260K+7.9%$241K+19.3%$202K+43.3%
$55.77M-9.3%$61.46M-25.5%$82.46M-37.0%$130.97M+144%
$55.77M-9.3%$61.46M-25.5%$82.46M-37.0%$130.97M+144%

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Questions, answered.

How much cash does CrossAmerica Partners generate?
CrossAmerica Partners (CAPL) generated $104.3M in operating cash flow over the trailing twelve months.
What is CrossAmerica Partners's free cash flow?
After $29.0M of capital expenditures, CrossAmerica Partners's free cash flow was $75.3M over the trailing twelve months, up 12.9% year over year.
Where does CrossAmerica Partners's cash flow data come from?
Every line is extracted from CrossAmerica Partners'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.