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IDT Corporation IDT Cash Flow Statement

Q3 '26Q2 '26Q1 '26Q4 '25Q3 '25
$23.75M+4.0%$22.82M-5.3%$24.1M+37.8%$17.48M-23.9%$22.96M+3.4%
$5.36M-0.7%$5.39M+1.7%$5.31M0.0%$5.31M+1.8%$5.21M-0.7%
$2.42M-44.3%$4.35M+116%$2.02M+469%$354K-62.6%$946K+9.7%
$18.48M-51.8%$38.32M+478%-$10.14M-133%$31M-59.1%$75.74M+276%
$5.1M-17.0%$6.15M+5.6%$5.82M+10.6%$5.26M-2.7%$5.41M+12.1%
-$5.66M+53.7%-$12.24M-33.0%-$9.2M+10.1%-$10.23M-1,979%-$492K+61.5%
$1.75M+16.0%$1.5M-0.7%$1.51M0.0%$1.51M+0.1%$1.51M+19.7%
$7.44M-2.2%$7.6M$0-100%$6.38M-28.8%
$21.3M$12.71M$0-100%$17K-99.8%
$3.27M-74.2%$12.71M-48.2%$24.55M+200%-$24.53M-338%
-$6.21M+28.7%-$8.71M+5.0%-$9.17M-506%-$1.51M+80.9%-$7.94M+22.7%
$6.41M-$28.67M-253%$18.76M-75.1%$75.37M+1,578%
$13.38M-58.4%$32.17M+302%-$15.96M-162%$25.74M-63.4%$70.34M+359%

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Questions, answered.

How much cash does IDT Corporation generate?
IDT Corporation (IDT) generated $77.7M in operating cash flow over the trailing twelve months.
What is IDT Corporation's free cash flow?
After $22.3M of capital expenditures, IDT Corporation's free cash flow was $55.3M over the trailing twelve months, down 45.0% year over year.
Where does IDT Corporation's cash flow data come from?
Every line is extracted from IDT Corporation'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.