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TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
-$32.97M-846%$4.42M+114%-$30.68M+81.2%-$163.21M+35.7%-$254M+10.9%
$12.49M+3.3%$12.09M+1.6%$11.9M+0.9%$11.8M+2.7%$11.49M-3.3%
$3.32M-0.4%$3.33M-18.5%$4.09M+31.2%$3.12M-7.6%$3.38M+30.6%
-$507K+71.7%-$1.79M+3.9%-$1.87M-9.8%-$1.7M+33.6%-$2.56M+44.5%
$5.58M+0.9%$5.53M+3.0%$5.37M+8.0%$4.97M+3.8%$4.79M+4.1%
$0$0$0-100%$79.56M-44.8%$144.08M0.0%
-$310K+89.3%-$2.9M+6.4%
-$24.72M+38.4%-$40.12M+1.9%-$40.88M-23.3%-$33.15M-25.5%-$26.41M-196%
-$12.32M-7.5%-$11.46M-15.8%-$9.9M-28.4%-$7.71M
-$4.92M+74.9%-$19.64M-12.6%-$17.45M-14.8%-$15.19M+40.5%-$25.54M
-$7.64M
$493K-8.0%$536K-44.7%$969K-53.3%$2.07M-40.5%$3.49M
$599K+1,972%-$32K-167%-$12K
-$8.69M+24.1%-$11.45M-245%-$3.32M-188%$3.76M+458%
$19.73M-2.2%$20.17M0.0%$20.17M-7.1%$21.72M-1.1%$21.97M-1.1%
$8.46M+33.3%$6.35M+50.0%
$15.16M+24.4%$12.18M+29.5%$9.41M+9.8%$8.57M-20.0%$10.71M-1.9%
-$15.14M-24.3%-$12.18M-29.5%-$9.41M-9.8%-$8.57M
$33K+13.8%$29K-79.7%$143K-9.5%$158K0.0%$158K-1.3%
$32.53M-44.6%$58.77M+1.8%$57.76M+1.8%$56.75M+2.4%$55.44M+84.4%
$94K+16.0%$81K-20.6%$102K-13.6%$118K-13.2%$136K-15.5%
$525K+1.9%$515K-33.2%$771K-38.2%$1.25M+4.8%$1.19M-0.6%
$325K-76.6%$1.39M-22.4%$1.79M-60.7%$4.55M-59.9%$11.33M-0.2%
-$15.29M-83.1%-$8.35M-388%$2.9M-88.7%$25.53M-39.6%$42.28M
$20.65M-19.4%$25.63M-1.4%$25.98M-6.3%$27.72M+5.1%$26.37M+25.0%
$439K-69.7%$1.45M-17.0%$1.75M-7.0%$1.88M-24.3%$2.48M-30.5%
$3.32M-0.4%$3.33M-18.5%$4.09M+31.2%$3.12M-7.6%$3.38M+30.6%
$0$0$0-100%$261K-47.9%$501K-32.4%
$8.46M+33.3%$6.35M+50.0%
$5.58M+0.9%$5.53M+3.0%$5.37M+8.0%$4.97M+3.8%$4.79M+4.1%
$19.73M-2.2%$20.17M0.0%$20.17M-7.1%$21.72M-1.1%$21.97M-1.1%
$0$0$0-100%$79.56M-44.8%$144.08M0.0%
$32.81M-53.0%$69.87M+63.7%$42.67M+10.8%$38.5M
$0$0
-$7.64M
$599K+1,972%-$32K-167%-$12K
-$782K-167%$1.16M+154%-$2.13M
$3.27M-10.7%$3.66M-3.4%$3.79M-76.6%$16.2M+7.7%$15.04M+1.2%
-$2.81M-33.3%-$2.11M-50.0%
$726K-55.0%$1.61M-35.5%
$35M-53.3%$75M0.0%$75M-25.0%$100M+53.8%$65M+160%
-$14.86M+86.7%-$111.94M-3.7%
$94K+16.0%$81K-20.6%$102K-13.6%$118K-13.2%$136K-15.5%
$0-100%$278.5K-50.0%
$3K-97.2%$108.25K-49.3%
$215K
-$8.69M+24.1%-$11.45M-245%-$3.32M-188%$3.76M+458%
$5.82M+33.3%$4.36M+50.0%
$40.71M-45.3%$74.44M
$4.09M-46.0%$7.57M0.0%$7.57M-15.7%$8.98M+33.5%$6.72M+107%
$439K-69.7%$1.45M-17.0%$1.75M-7.0%$1.88M-24.3%$2.48M-30.5%
-$39.94M+11.2%

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Questions, answered.

How much cash does Comtech Telecommunications generate?
Comtech Telecommunications (CMTL) generated $18.8M in operating cash flow over the trailing twelve months.
What is Comtech Telecommunications's free cash flow?
After $15.2M of capital expenditures, Comtech Telecommunications's free cash flow was $5.8M over the trailing twelve months, up 112.8% year over year.
Where does Comtech Telecommunications's cash flow data come from?
Every line is extracted from Comtech Telecommunications'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.