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Core & Main CNM Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$470M+1.7%$462M+1.3%$456M+0.7%$453M+3.4%$438M+0.9%
$191M-0.5%$192M-1.0%$194M-0.5%$195M-0.5%$196M+1.0%
$15M-11.8%$17M0.0%$17M0.0%$17M+6.3%$16M+14.3%
$15M-68.8%$48M+860%$5M-86.5%$37M$0+100%
$2M$0
-$70M-169%-$26M
$655M+0.8%$650M+5.3%$617M+1.8%$606M-2.3%$620M-0.2%
$47M+2.2%$46M+9.5%$42M0.0%$42M+2.4%$41M+17.1%
$42M+10.5%$38M+322%$9M-18.2%$11M-8.3%$12M0.0%
-$150M-3.4%-$145M-42.2%-$102M+48.5%-$198M+13.9%-$230M+70.8%
$204M+31.6%$155M+2.0%$152M-24.8%$202M-6.0%$215M+22.2%
$24M0.0%$24M-89.3%$224M0.0%$224M+0.4%$223M0.0%
$7M0.0%$7M0.0%$7M-12.5%$8M-11.1%$9M-18.2%
$6M
$2M$0-100%$1M0.0%$1M-66.7%$3M-80.0%
-$363M-23.9%-$293M
$142M-33.0%$212M
$160M+20.3%$133M-19.4%$165M+9.3%$151M-14.7%$177M-10.2%
$79M0.0%$79M-26.9%$108M-15.6%$128M+2.4%$125M-12.6%
$2M$0
$42M+10.5%$38M+322%$9M-18.2%$11M-8.3%$12M0.0%
$2M$0-100%$1M0.0%$1M-66.7%$3M-80.0%
$7M0.0%$7M0.0%$7M-12.5%$8M-11.1%$9M-18.2%
$6M
$429M-61.4%
$24M0.0%$24M-89.3%$224M0.0%$224M+0.4%$223M0.0%
$289M-62.7%
$608M+0.7%$604M+5.0%$575M+2.0%$564M-2.6%$579M-1.2%
$608M+0.7%$604M+5.0%$575M+2.0%$564M-2.6%$579M-1.2%

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Questions, answered.

How much cash does Core & Main generate?
Core & Main (CNM) generated $655.0M in operating cash flow over the trailing twelve months.
What is Core & Main's free cash flow?
After $47.0M of capital expenditures, Core & Main's free cash flow was $608.0M over the trailing twelve months, up 5.0% year over year.
Where does Core & Main's cash flow data come from?
Every line is extracted from Core & Main'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.