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IES Holdings, Inc. IESC Cash Flow Statement

TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25
$383.65M+10.9%$345.93M+10.9%$311.84M+13.4%$275.03M+4.8%$262.39M+6.4%
$52.67M+8.5%$48.53M+3.4%$46.94M+2.6%$45.75M+2.4%$44.7M+10.2%
$15.16M+2.8%$14.75M+14.1%$12.93M+21.8%$10.62M+38.0%$7.69M+26.8%
$354.98M+28.4%$276.54M-3.3%$286.1M+15.9%$246.88M+3.8%$237.82M-3.6%
$115.54M+14.8%$100.66M+49.7%$67.25M+9.3%$61.54M-0.6%$61.92M+19.5%
$172.87M+234%$51.83M-1.0%$52.37M+132%$22.61M-75.0%$90.31M+32.3%
-$287.71M-89.9%-$151.5M+7.4%-$163.69M-29.3%-$126.55M+35.0%-$194.59M-20.6%
$24.77M-43.2%$43.58M+4.7%$41.64M-32.1%$61.3M-20.5%$77.08M+31.0%
$110M-48.9%$215.18M-78.4%$996.4M-44.7%$1.8B-28.6%$2.53B-16.4%
-$4.43M+8.7%-$4.85M-10.7%-$4.38M+3.3%-$4.53M-1.8%-$4.45M-6.1%
-$126.77M-11.4%
$27.1M-8.9%$29.76M+13.0%$26.34M-58.6%$63.55M+176%-$83.54M-194%
$239.44M+36.1%$175.88M-19.6%$218.84M+18.1%$185.34M+5.4%$175.89M-9.8%

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Questions, answered.

How much cash does IES Holdings, Inc. generate?
IES Holdings, Inc. (IESC) generated $355.0M in operating cash flow over the trailing twelve months.
What is IES Holdings, Inc.'s free cash flow?
After $115.5M of capital expenditures, IES Holdings, Inc.'s free cash flow was $239.4M over the trailing twelve months, up 36.1% year over year.
Where does IES Holdings, Inc.'s cash flow data come from?
Every line is extracted from IES Holdings, Inc.'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.