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Cadre Holdings CDRE Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$20.51M+10.0%$18.63M+3.5%$18M+9.8%$16.39M+0.3%$16.33M-0.5%
$12.2M-0.3%$12.24M+36.7%$8.95M+4.0%$8.61M+4.1%$8.27M-1.2%
$68.84M+8.1%$63.71M-3.7%$66.17M
$8.23M+20.0%$6.86M+40.8%$4.87M-3.3%$5.04M-10.6%$5.63M-0.6%
$220.75M+146%$89.59M
-$251.29M-161%-$96.37M-2.0%-$94.47M+0.2%-$94.61M-1,451%-$6.1M+95.9%
$15.87M+2.7%$15.45M+2.1%$15.14M+2.1%$14.83M+2.1%$14.52M+4.1%
$135.63M+39.1%$97.5M-20.4%$122.55M
$92.78M+666%$12.12M-92.4%
$57.89M
$60.61M+6.6%$56.85M-7.3%$61.3M

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Questions, answered.

How much cash does Cadre Holdings generate?
Cadre Holdings (CDRE) generated $68.8M in operating cash flow over the trailing twelve months.
What is Cadre Holdings's free cash flow?
After $8.2M of capital expenditures, Cadre Holdings's free cash flow was $60.6M over the trailing twelve months, up 25.2% year over year.
Where does Cadre Holdings's cash flow data come from?
Every line is extracted from Cadre Holdings'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.