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TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25TTM Q4 '24
$19.07M+2.2%$18.66M+7.9%
$0$0
$0$0
$0$0
$100.79K+845%-$13.53K-117%
-$268.43K-106%$4.21M-11.4%
-$1.46M+51.3%-$3M-82.8%
-$1.01M-54.5%-$650.94K+1.1%
$510.93K+135%-$1.45M-9.0%
$954.08K+324%-$426.37K-151%
-$348.93K-121%$1.69M+8.2%
$226.65K+581%$33.28K+119%
$1.59M+1,754%$85.84K+31.7%
$44.06M+3.4%$42.63M+7.4%
$25.94M+25.0%$20.75M+11.4%
$13.99M$0-100%
$367.1K+23.4%$297.46K-29.9%
$0-100%$128.75K-50.0%$257.5K-33.3%$386.25K-25.0%$515K+33.3%
$1.26M+33.3%$947.75K+50.0%$631.83K+100%$315.92K$0
-$39.95M-90.5%-$20.97M+1.6%
$157.5M+33.3%$118.13M+50.0%$78.75M+100%$39.38M$0
$26.7M+33.3%$20.03M+50.0%$13.35M+100%$6.68M$0
$4.28M$0
$258.28M+33.3%$193.71M+50.0%$129.14M+100%$64.57M$0
$2.56M-2.1%$2.61M+10.0%
$0$0
$8.02M+201%-$7.96M-19.8%
$12.14M-11.4%$13.7M+16.8%
$6.54M+8.2%$6.05M+8.9%$5.56M+9.8%$5.06M+10.8%$4.57M+3.3%
$0$0
$1.59M+1,754%$85.84K+31.7%
$19.07M+2.2%$18.66M+7.9%
$121.87K+22.4%$99.56K+62.7%
$954.08K+324%-$426.37K-151%
$510.93K+135%-$1.45M-9.0%
$226.65K+581%$33.28K+119%
$4.39K+33.3%$3.29K+50.0%$2.19K+100%$1.1K$0
$0-100%$128.75K-50.0%$257.5K-33.3%$386.25K-25.0%$515K+33.3%
$1.26M+33.3%$947.75K+50.0%$631.83K+100%$315.92K$0
$367.1K+23.4%$297.46K-29.9%
$2.56M-2.1%$2.61M+10.0%
$157.5M+33.3%$118.13M+50.0%$78.75M+100%$39.38M$0
$0$0
$5.64M+33.3%$4.23M+50.0%$2.82M+100%$1.41M$0
$258.28M+33.3%$193.71M+50.0%$129.14M+100%$64.57M$0
$3.83K+33.3%$2.88K+50.0%$1.92K+100%$958.5$0
$46.5M-17.4%$56.3M+26.3%
-$389.1K-33.3%-$291.83K-50.0%-$194.55K-100%-$97.28K$0
$1.08M+33.3%$808.84K+50.0%$539.22K+100%$269.61K$0
$1.34M+33.3%$1.01M+50.0%$671.95K+100%$335.97K$0
-$9.17K-33.3%-$6.88K-50.0%-$4.59K-100%-$2.29K$0
$5.41M+33.3%$4.06M+50.0%$2.71M+100%$1.35M$0
$46.36M
$39.42M+33.3%$29.57M+50.0%$19.71M+100%$9.86M$0
-$348.93K-121%$1.69M+8.2%
$937.5K$0
$1.26M+33.3%$947.75K+50.0%$631.83K+100%$315.92K$0
$6.93M+33.3%$5.2M+50.0%$3.47M+100%$1.73M$0
$5.08M$0-100%
$0$0$0$0$0-100%
$69.69M+9.0%$63.94M+22.2%
$3.85M-7.6%$4.16M-22.6%
$3.86M+33.3%$2.9M+50.0%$1.93M+100%$966.08K$0
$513.27K+33.3%$384.95K+50.0%$256.64K+100%$128.32K$0
$3.41M+33.5%$2.56M-2.4%
$2.8M$0-100%
$0$0$0$0$0
$1.69M+5.3%$1.61M+5.6%$1.52M+5.9%$1.44M+6.3%$1.35M+33.3%
$18.13M-17.1%$21.87M+3.9%

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Questions, answered.

How much cash does Cardinal Infrastructure Group, Inc. generate?
Cardinal Infrastructure Group, Inc. (CDNL) generated $42.7M in operating cash flow over the trailing twelve months.
What is Cardinal Infrastructure Group, Inc. 's free cash flow?
After $30.1M of capital expenditures, Cardinal Infrastructure Group, Inc. 's free cash flow was $12.7M over the trailing twelve months, down 37.5% year over year.
Where does Cardinal Infrastructure Group, Inc. 's cash flow data come from?
Every line is extracted from Cardinal Infrastructure Group, Inc. '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.