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Calumet, Inc. CLMT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$188.8M+44.9%-$33.8M+84.8%-$37.2M-$451.2M-$342.4M
$148.75M+1.0%
-$10.55M-172%
$13.1M+109%
$62.2M
$9.6M-22.6%
-$39.08M-71.0%
-$11.43M-28.7%
-$16.03M-207%
-$16.23M-412%
-$8.8M+94.1%$49.5M+158%$49.7M+203%
-$7M+40.8%
$52M$108.9M-$11M-$126.9M
$47.9M-35.5%$52.3M-31.8%$64.6M-22.4%$72.9M$74.3M
$500K$375K$250K$125K
$95.4M
$21.1M
$1.97B-25.0%$2.5B+26.5%$2.48B+20.9%$2.52B$2.63B
$1M-9.1%$1.03M-4.7%$1.05M0.0%$1.08M+4.9%
$31.95M+172%
$280.4M
$172M
$13.1M+109%
$38.1M+4.2%
$62.2M
-$1.3M+35.0%-$1.48M+37.9%-$1.65M+40.0%-$1.83M+41.6%
-$7M+40.8%
-$12.9M-227%
-$1M-111%
-$16.03M-207%
$6.5M+150%
$18.35M-55.3%
$5.15M-80.7%
-$76.1M-139%-$65.05M+11.7%-$54M+53.2%-$42.95M+72.7%
-$8.8M+94.1%$49.5M+158%$49.7M+203%
-$78.7M$24.1M$4M
$1M-9.1%$1.03M-4.7%$1.05M0.0%$1.08M+4.9%
$31.95M+172%
$90.5M+92.0%$58.6M+43.1%$31.4M-20.7%
$148.53M+31.8%
$781.8M
$349.3M-32.7%$398.1M-43.8%$434.9M-60.4%$459.2M$518.7M
$363.4M-24.1%$362.9M-45.9%$386.2M-62.6%$456.1M$478.6M
$6.8M
$1.97B-25.0%$2.5B+26.5%$2.48B+20.9%$2.52B$2.63B
$396.1M
$176.5M
$86M
$2.01B-15.1%$2.31B+8.6%$2.42B+9.8%$2.41B$2.37B
$46M+3,438%
$48.8M+50.2%$46M+49.8%$33.2M-10.3%$31.6M-24.3%$32.5M-33.2%
$4.1M$56.6M-$75.6M-$199.8M
$4.1M$56.6M-$75.6M-$199.8M

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Questions, answered.

How much cash does Calumet, Inc. generate?
Calumet, Inc. (CLMT) generated $52.0M in operating cash flow over the trailing twelve months.
What is Calumet, Inc.'s free cash flow?
After $47.9M of capital expenditures, Calumet, Inc.'s free cash flow was $4.1M over the trailing twelve months, up 101.8% year over year.
Where does Calumet, Inc.'s cash flow data come from?
Every line is extracted from Calumet, 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.