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Foster (Lb) Co. FSTR Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$11.03M+48.6%$7.42M+47.0%$5.05M-86.2%$36.62M+0.1%$36.6M-15.1%
$9.12M-0.3%$9.14M-0.9%$9.22M-0.7%$9.29M-1.0%$9.38M-0.7%
$6.1M+20.7%$5.06M+22.8%$4.12M+14.4%$3.6M-1.0%$3.64M-5.2%
$51.32M+44.1%$35.62M-5.6%$37.73M+13.3%$33.3M+85.6%$17.94M-20.7%
$10.81M+3.7%$10.42M+4.1%$10.01M-2.5%$10.27M+6.4%$9.65M-1.4%
-$10.76M-3.7%-$10.37M-0.1%-$10.36M+2.5%-$10.63M-9.8%-$9.68M-53.3%
$14.29M-13.5%$16.51M+5.9%$15.6M+15.7%$13.48M+6.2%$12.7M+54.1%
$316.4M+2.7%$308.01M+19.9%$256.85M+2.1%$251.69M+0.6%$250.11M+12.3%
$339.89M+8.4%$313.55M+17.4%$267.04M+3.0%$259.3M+5.4%$246.12M+6.7%
-$39.26M-66.8%-$23.54M+13.7%-$27.28M-20.8%-$22.58M-159%-$8.71M+46.3%
$165K+131%-$536K-406%
$40.51M+60.8%$25.2M-9.1%$27.72M+20.4%$23.02M+178%$8.29M-35.5%

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Questions, answered.

How much cash does Foster (Lb) Co. generate?
Foster (Lb) Co. (FSTR) generated $51.3M in operating cash flow over the trailing twelve months.
What is Foster (Lb) Co.'s free cash flow?
After $10.8M of capital expenditures, Foster (Lb) Co.'s free cash flow was $40.5M over the trailing twelve months, up 388.9% year over year.
Where does Foster (Lb) Co.'s cash flow data come from?
Every line is extracted from Foster (Lb) Co.'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.