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FY'25FY'24
$18.66M+41.6%
$0
$0
$0
-$13.53K-104%
$4.21M-33.9%
-$3M-223%
-$650.94K+4.2%
-$1.45M-49.0%
-$426.37K-109%
$1.69M+43.7%
$33.28K+104%
$85.84K+2,541%
$42.63M+38.0%
$20.75M+69.2%
$0-100%
$297.46K-63.0%
$0-100%$515K
$1.26M$0
-$20.97M+6.2%
$157.5M$0
$26.7M$0
$0
$258.28M$0
$2.61M+57.3%
$0
-$7.96M-196%
$13.7M+135%
$6.54M+43.3%$4.57M+14.6%
$0
$85.84K+2,541%
$18.66M+41.6%
$99.56K+285%
-$426.37K-109%
-$1.45M-49.0%
$33.28K+104%
$4.39K$0
$0-100%$515K
$1.26M$0
$297.46K-63.0%
$2.61M+57.3%
$157.5M$0
$0
$5.64M$0
$258.28M$0
$3.83K$0
$56.3M+499%
-$389.1K$0
$1.08M$0
$1.34M$0
-$9.17K$0
$5.41M$0
$46.36M
$39.42M$0
$1.69M+43.7%
$0
$1.26M$0
$6.93M$0
$0-100%
$0$0-100%
$63.94M+265%
$4.16M-53.9%
$3.86M$0
$513.27K$0
$2.56M-9.0%
$0-100%
$0$0
$1.69M+25.0%$1.35M
$21.87M+17.5%

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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.