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Commercial Metals CMC Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$93.03M-47.5%$177.28M+16.8%$151.78M+82.6%$83.13M+226%$25.47M+114%
$102.57M+41.0%$72.72M+0.3%$72.48M+0.1%$72.38M+2.5%$70.58M+0.2%
$14.8M+31.7%$11.24M+21.6%$9.24M-2.8%$9.5M+17.3%$8.1M-20.8%
$10.93M+245%-$7.53M-84.3%-$4.09M$0+100%-$18.15M+76.4%
$687K-63.4%$1.88M$1.06M-57.8%$2.51M+1,457%
$166.27M-18.6%$204.19M-35.2%$315.21M+104%$154.4M+376%$32.44M-84.8%
$122.7M-2.2%$125.44M+15.2%$108.92M+21.8%$89.45M+3.7%$86.27M-27.0%
$0$0$0
$381K-25.1%$509K-81.8%$2.79M+255%-$1.8M-466%$493K+5.6%
$1.86M+473%$324K+1.6%$319K+88.8%$169K+64.1%$103K-98.0%
-$2.64B-2,134%-$118M-40.2%-$84.15M+3.8%-$87.48M-41.9%-$61.66M+45.7%
$19.97M-0.2%$20M-0.7%$20.13M-0.9%$20.32M-0.5%$20.43M-0.6%
$18.3M-52.9%$38.9M-22.2%$49.97M-0.9%$50.42M+5.0%$48.02M-4.8%
$2B$0-100%$147.72M$0
$11.32M+14.6%$9.88M-10.8%$11.08M+9.0%$10.16M+9.3%$9.3M-15.0%
$14.12M
$3.02M-44.6%$5.45M+33,981%$16K-97.2%$568K$0-100%
$1.92M-69.2%$6.22M-62.2%$16.46M$0-100%
$1.9B+2,461%-$80.47M-$68.44M+32.6%
$906K+1,394%-$70K-137%$188K-89.6%$1.81M+832%$194K+128%
-$2.53B-227%$1.99B+1,217%$150.78M+11.1%$135.7M+239%-$97.46M-3,554%
$14.27M-1.7%$14.51M+4.5%$13.89M+16.6%$11.91M-14.9%$14.01M+24.3%
$22.6M+686%$2.88M-85.8%$20.19M-44.1%$36.12M-42.6%$62.89M+2,175%
$11.56M$0
-$4.07M-8.9%-$3.74M-$3.78M+20.0%-$4.72M+98.7%
$2.84M$4.93M-27.3%$6.79M-24.2%
$696.5K0.0%$696.5K0.0%$696.5K0.0%
$1.98M+125%-$8.06M-$8.14M-502%
-$3.87M$1.19M-56.5%
$381K-25.1%$509K-81.8%$2.79M+255%-$1.8M-466%$493K+5.6%
$12.5M0.0%$12.5M0.0%$12.5M0.0%
$1.86M+473%$324K+1.6%$319K+88.8%$169K+64.1%$103K-98.0%
$11.56M$0
$3.02M-44.6%$5.45M+33,981%$16K-97.2%$568K$0-100%
$1.92M-69.2%$6.22M-62.2%$16.46M$0-100%
$1.92M-69.2%$6.22M-62.2%$16.46M$0-100%
$9.22M0.0%$9.22M0.0%$9.22M0.0%
$90.57M0.0%$90.57M0.0%$90.57M0.0%
$847K-88.9%$7.62M$0
$24M-25.1%$32.07M$10.12M
$22.6M+686%$2.88M$36.12M-42.6%$62.89M+2,175%
$43.57M-44.7%$78.75M-61.8%$206.29M+218%$64.95M
$43.57M-44.7%$78.75M-61.8%$206.29M+218%$64.95M

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Questions, answered.

How much cash does Commercial Metals generate?
Commercial Metals (CMC) generated $840.1M in operating cash flow over the trailing twelve months.
What is Commercial Metals's free cash flow?
After $446.5M of capital expenditures, Commercial Metals's free cash flow was $393.6M over the trailing twelve months, down 18.2% year over year.
Where does Commercial Metals's cash flow data come from?
Every line is extracted from Commercial Metals'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.