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St. Joe Company JOE Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$13.29M-20.3%$29.24M+61.3%$40.2M+141%$29.77M+21.4%$16.67M+27.2%
$11.39M-6.1%$11.7M-3.5%$11.66M-1.1%$11.99M+6.1%$12.13M+8.5%
$327K+5.5%$308K-5.8%$309K-5.5%$305K-5.9%$310K+34.2%
$1.29M+387%$3M$2.48M+9.7%$476K+255%$264K+137%
$235K+1.3%$204K-13.2%$219K-11.3%$220K-12.0%$232K-7.2%
-$5K+89.1%$0+100%$2.59M+43,333%-$12K+42.9%-$46K+91.3%
-$2.3M+40.1%-$7.02M+23.3%$5.91M0.0%-$3.83M-81.4%
$3.19M+91.1%-$1.56M+34.5%$1.67M-10.7%
$3.53M-65.3%$4.44M+10.1%$3.48M-48.6%$7.55M+39.5%$10.16M+38.0%
-$13K+72.3%-$24K-$311K-$39K-$47K
$3.6M-49.1%$11.29M-0.1%$10.84M+87.4%$6.39M+15.1%$7.07M+70.5%
$42.24M+45.6%$44.4M+48.8%$86.21M+211%$31.06M+36.2%$29.02M+5.1%
$2M+71.0%$535K-76.1%$1M-44.3%$1.35M+2.0%$1.17M-51.0%
$7K-88.1%$0$4.57M+114,025%$8K-20.0%$59K-20.3%
$1.79M+21.2%$4.94M$773K+33.7%$634K$1.48M+27.9%
-$8.93M-35.9%-$8.93M-11.5%-$1.39M+90.0%-$9.33M+32.6%-$6.57M+55.2%
$9.2M+12.8%$9.23M+13.0%$8.1M-1.3%$8.14M+16.2%$8.16M+16.5%
$5.2M-8.5%$15.2M+1,707%$8.81M+948%$10.57M+1,157%$5.69M+576%
$40M+3,884%$27.83M+30,485%
$10.9M-64.1%$7.99M+32.2%$68.43M+1,223%$7.66M+63.4%$30.38M+1,239%
$84K+155%$55K-8.3%$54K+200%$33K-21.4%$33K-23.3%
$192K-35.8%$39K-35.0%$2.44M+367%$166K+10.7%$299K+25.1%
$333K
$267K+105%$384K
$50K
-$25.86M-51.2%-$32.51M-83.7%-$48.1M-270%-$26.56M-123%-$17.1M-80.8%
$7.45M+39.5%$2.96M-28.4%$36.73M+4,045%$5.34M+54.4%
$238K-58.5%$331K-10.1%$235K-52.8%$390K-12.0%$574K+25.9%
$235K+1.3%$204K-13.2%$219K-11.3%$220K-12.0%$232K-7.2%
$3.6M-49.1%$11.29M-0.1%$10.84M+87.4%$6.39M+15.1%$7.07M+70.5%
$13.09M-51.8%$14.49M-36.1%$14.85M-29.5%$27.78M+50.0%$27.18M+58.2%
$3.53M-65.3%$4.44M+10.1%$3.48M-48.6%$7.55M+39.5%$10.16M+38.0%
$9.05M+19.2%$152K-93.0%$3.01M+172%$7.59M+98.3%
$1.29M+387%$3M$2.48M+9.7%$476K+255%$264K+137%
-$2.3M+40.1%-$7.02M+23.3%$5.91M0.0%-$3.83M-81.4%
$16.99M-3.4%$25.82M+24.5%$39.15M+176%$21.97M+42.9%$17.59M+18.6%
$1.79M+21.2%$4.94M$773K+33.7%$634K$1.48M+27.9%
$5.56M+26.4%$3.45M-40.2%$4.55M-61.8%$7.35M-41.7%$4.4M-63.0%
$415K-0.2%$1K$372K-3.1%$0$416K+0.5%
$7K-88.1%$0$4.57M+114,025%$8K-20.0%$59K-20.3%
$84K+155%$55K-8.3%$54K+200%$33K-21.4%$33K-23.3%
$267K+105%$384K
$192K-35.8%$39K-35.0%$2.44M+367%$166K+10.7%$299K+25.1%
$40.24M+44.5%$43.87M+58.9%$85.21M+229%$29.71M+38.3%$27.85M+10.4%
$40.24M+44.5%$43.87M+58.9%$85.21M+229%$29.71M+38.3%$27.85M+10.4%

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Questions, answered.

How much cash does St. Joe Company generate?
St. Joe Company (JOE) generated $203.9M in operating cash flow over the trailing twelve months.
What is St. Joe Company's free cash flow?
After $4.9M of capital expenditures, St. Joe Company's free cash flow was $199.0M over the trailing twelve months, up 93.5% year over year.
Where does St. Joe Company's cash flow data come from?
Every line is extracted from St. Joe Company'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.