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ICF International ICFI Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$85.26M-6.9%$91.59M-7.3%$98.84M-8.3%$107.75M-1.8%$109.7M-0.4%
$56.53M-2.8%$58.15M+2.1%$56.97M+1.9%$55.91M+2.8%$54.41M+1.7%
$18.2M+2.9%$17.69M+3.2%$17.14M+1.2%$16.94M-2.4%$17.36M+3.8%
$171.76M+21.1%$141.87M-12.2%$161.6M+15.6%$139.83M-5.8%$148.51M-13.4%
$21.04M-2.9%$21.66M+5.1%$20.62M+1.9%$20.24M+3.0%$19.66M-8.3%
-$20.89M+2.9%-$21.51M+71.5%-$75.57M-0.9%-$74.93M-0.2%-$74.75M+0.1%
$10.29M-0.6%$10.36M-0.4%$10.4M-0.4%$10.45M-0.4%$10.49M-0.2%
$34.32M-38.0%$55.32M-1.8%$56.31M-0.3%$56.49M-0.5%$56.75M+18.8%
$1.14B-15.2%$1.35B-0.8%$1.36B+2.7%$1.32B-4.4%$1.38B+12.7%
$1.21B-11.2%$1.36B+2.3%$1.33B+2.6%$1.3B-4.6%$1.36B+8.9%
-$110.19M-30.7%-$84.31M-108%-$40.53M+7.8%-$43.93M+19.7%-$54.71M+37.0%
$41.17M+9.8%$37.51M-19.0%$46.29M
$150.73M+25.4%$120.21M-14.7%$140.99M+17.9%$119.59M-7.2%$128.86M-14.2%

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Questions, answered.

How much cash does ICF International generate?
ICF International (ICFI) generated $171.8M in operating cash flow over the trailing twelve months.
What is ICF International's free cash flow?
After $21.0M of capital expenditures, ICF International's free cash flow was $150.7M over the trailing twelve months, up 17.0% year over year.
Where does ICF International's cash flow data come from?
Every line is extracted from ICF International'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.