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Euronet Worldwide EEFT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$311.9M-0.4%$313M+2.1%$306.5M-8.0%$333M+4.6%$318.5M+4.0%
$146.2M+5.6%$138.5M+3.9%$133.3M+1.4%$131.4M+0.1%$131.3M-0.4%
$58.7M+6.5%$55.1M+9.3%$50.4M+9.1%$46.2M+8.5%$42.6M-3.0%
-$15M-582%-$2.2M-112%
$5.2M+15.6%$4.5M+21.6%$3.7M0.0%$3.7M-9.8%$4.1M0.0%
-$2.9M
-$76.9M-160%$128.2M
$4.8M-98.0%$242M
$42.9M-44.6%$77.4M
-$3.2M-6.7%-$3M-76.5%-$1.7M-242%
-$15.6M-45.8%-$10.7M
$436.1M-22.1%$559.8M+21.1%$462.2M-34.5%$705.2M+0.1%$704.5M-3.9%
$130.6M+4.1%$125.5M-2.0%$128.1M+8.7%$117.8M+0.9%$116.8M-0.3%
-$21M+12.5%-$24M-350%$9.6M+500%-$2.4M-111%$22.3M-75.7%
$2.1M+2,200%
-$112.6M+18.7%-$138.5M+20.9%-$175.1M-11.5%-$157M+13.4%-$181.2M+18.9%
$706.9M+5.9%$667.7M+35.5%$492.9M+6.5%$462.9M+40.4%$329.7M+22.7%
$9.47B-1.9%$9.66B+2.6%$9.41B+14.0%$8.26B+2.1%$8.09B+1.2%
$9M-51.9%$18.7M+7.5%$17.4M-0.6%$17.5M+1.7%
$109.25M-20.5%
-$509.9M+35.3%-$788.6M-31.4%-$600M-66.3%-$360.9M-563%-$54.4M+59.9%
$132.5M-49.7%$263.4M+217%$83.1M-53.4%$178.4M+2,688%$6.4M+105%
-$75.4M+39.9%-$125.4M
$67.2M-4.4%$70.3M-8.3%$76.7M-6.6%$82.1M-4.2%$85.7M+9.5%
$160.8M+5.3%$152.7M+9.9%$138.9M+5.5%$131.6M+23.1%$106.9M-1.9%
$4.5M+2.3%$4.4M+2.3%$4.3M+2.4%$4.2M+2.4%
$3.7M0.0%$3.7M-9.8%$4.1M0.0%
$1.2M+105%-$25.3M+57.3%-$59.3M-85.9%-$31.9M-21.8%-$26.2M-27.2%
$4.8M-98.0%$242M
-$3.2M-6.7%-$3M-76.5%-$1.7M-242%
$42.9M-44.6%$77.4M
-$2.9M
$2.1M+2,200%
$13M-3.7%$13.5M-4.9%$14.2M-6.0%$15.1M-0.7%$15.2M+4.1%
$706.9M+5.9%$667.7M+35.5%$492.9M+6.5%$462.9M+40.4%$329.7M+22.7%
$9M-51.9%$18.7M+7.5%$17.4M-0.6%$17.5M+1.7%
$109.25M-20.5%
$1.4M0.0%$1.4M
$8.04B+0.7%
$8.74B+9.6%
$160.8M+5.3%$152.7M+9.9%$138.9M+5.5%$131.6M+23.1%$106.9M-1.9%
$305.5M-29.7%$434.3M+30.0%$334.1M-43.1%$587.4M-0.1%$587.7M-4.5%
$305.5M-29.7%$434.3M+30.0%$334.1M-43.1%$587.4M-0.1%$587.7M-4.5%

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Questions, answered.

How much cash does Euronet Worldwide generate?
Euronet Worldwide (EEFT) generated $436.1M in operating cash flow over the trailing twelve months.
What is Euronet Worldwide's free cash flow?
After $130.6M of capital expenditures, Euronet Worldwide's free cash flow was $305.5M over the trailing twelve months, down 48.0% year over year.
Where does Euronet Worldwide's cash flow data come from?
Every line is extracted from Euronet Worldwide'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.