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DNOW DNOW Cash Flow Statement

FY'25FY'24FY'23FY'22
-$89M-213%$79M-68.5%$251M+94.6%$129M+2,480%
$52M+52.9%$34M+30.8%$26M+36.8%$19M-17.4%
$29M+123%$13M-13.3%$15M+36.4%$11M+37.5%
-$16M-167%$24M+120%-$118M-11,900%$1M
-$81M-406%-$16M
-$80M-567%-$12M-109%$138M
-$15M+25.0%-$20M
-$21M-363%$8M$10M
-$19M+20.8%-$24M
$0
$155M-48.0%$298M+58.5%$188M$0-100%
$21M+133%$9M-47.1%$17M+88.9%$9M+80.0%
$574M$80M
-$5M-25.0%-$4M
-$590M-94.1%-$304M-533%-$48M+44.8%-$87M+12.1%
$37M+60.9%$23M-54.0%$50M+614%$7M
$0$0
$0$0
$1.2B$0$0
$4M+300%$1M
$339M+1,127%-$33M+40.0%-$55M-450%-$10M
-$4M-300%$2M
$87M
$0$0
$6M-40.0%$10M-9.1%$11M
-$21M-363%$8M$10M
$4M+200%-$4M
$5M-44.4%$9M+50.0%$6M-33.3%
-$5M-25.0%-$4M
$1M0.0%$1M0.0%$1M
-$4M-300%$2M
$18M+5.9%$17M
$1.2B$0$0
$6M-40.0%$10M-9.1%$11M
$134M-53.6%$289M+69.0%$171M
$134M-53.6%$289M+69.0%$171M

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Questions, answered.

How much cash does DNOW generate?
DNOW (DNOW) generated $76.0M in operating cash flow over the trailing twelve months.
What is DNOW's free cash flow?
After $23.0M of capital expenditures, DNOW's free cash flow was $53.0M over the trailing twelve months, down 71.7% year over year.
Where does DNOW's cash flow data come from?
Every line is extracted from DNOW'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.