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Flowserve FLS Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$398.45M+1.8%$391.54M-17.6%$475.05M+51.0%$314.54M+3.9%$302.77M+0.5%
$80.73M+1.9%$79.24M+1.9%$77.77M+1.4%$76.66M+1.7%$75.35M-0.7%
$40.32M+5.4%$38.26M+20.9%$31.65M-0.8%$31.9M+4.7%$30.47M0.0%
$512.91M+1.4%$506.06M-28.1%$703.41M+46.5%$480.05M+47.3%$325.9M-25.6%
$76.09M+7.3%$70.93M-4.6%$74.38M-8.2%$81.07M+2.4%$79.15M-2.3%
-$121.07M+3.3%-$125.16M+66.9%-$377.57M+1.8%-$384.6M+0.1%-$384.9M+0.6%
$108.74M-0.8%$109.64M-0.6%$110.26M-0.1%$110.39M0.0%$110.4M0.0%
$233.77M-8.3%$254.86M+28.8%$197.92M+249%$56.71M+46.9%$38.61M+92.4%
$350M+75.0%$200M+167%$75M-25.0%$100M+33.3%$75M-25.0%
$100M0.0%$100M0.0%$100M-20.0%$125M+32.5%$94.38M-5.6%
-$158.2M+52.2%-$330.95M-212%-$106.07M-39,777%-$266K-100%$87.48M-25.5%
$8.82M-93.2%
$462.22M+0.4%$460.52M-26.8%$629.02M+57.7%$398.98M+52.6%$261.43M-29.7%

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Questions, answered.

How much cash does Flowserve generate?
Flowserve (FLS) generated $512.9M in operating cash flow over the trailing twelve months.
What is Flowserve's free cash flow?
After $76.1M of capital expenditures, Flowserve's free cash flow was $462.2M over the trailing twelve months, up 76.8% year over year.
Where does Flowserve's cash flow data come from?
Every line is extracted from Flowserve'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.