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Kelly Services KELYB Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$265.8M-1,190%-$254.1M-42,250%-$157.1M-469%-$6.2M-113%-$20.6M-140%
$41.3M-4.4%$42.4M+5.5%$43.5M+17.6%$44.1M+28.6%$43.2M+29.0%
$12M-5.5%$12.3M+4.2%$13.1M+27.2%$13.8M+48.4%$12.7M+35.1%
$3.4M+325%$3.3M+230%$2.4M+41.2%
$5.18M+105%
-$47.53M+13.0%
-$2.85M-132%
-$9.15M+85.3%
$9.5M+371%
$10.9M-1.8%$10.9M+1.9%$11.1M-3.5%$11.5M-7.3%$11.1M-21.3%
$7.1M-28.3%$8.5M-23.4%$8.8M-26.7%$8.9M-29.9%$9.9M-32.2%
$900K+126%$1.8M+186%
$16.2M+105%-$430.5M-815%
$10.9M-0.9%$11M+0.9%$11M+0.9%$11M+1.9%$11M+0.9%
$1.58B-10.1%$1.6B+19.2%$1.67B+96.6%$1.74B+359%$1.75B
$1.65B+6.6%$1.74B+57.7%$1.78B+187%$1.87B+1,013%$1.55B
$1.9M-20.8%$2.3M-8.0%$2.1M-12.5%$2.3M-11.5%$2.4M-4.0%
-$200K$0$800K$1.1M$0
-$157M-184%$182.5M+562%
-$26.3M+70.4%-$179.6M-305%
$12.2M+22.0%$11.65M+42.1%$11.1M+73.4%$10.55M+129%
$4.5M-58.7%$6.1M-41.3%$7.7M-22.2%$9.3M-1.1%
$2.2M-83.7%$0-100%$8M$8M$13.5M
-$2.85M-132%
$10.9M-1.8%$10.9M+1.9%$11.1M-3.5%$11.5M-7.3%$11.1M-21.3%
$9.5M+371%
$3.4M+325%$3.3M+230%$2.4M+41.2%
$900K+126%$1.8M+186%
$6.4M
-$500K-$300K-$400K
$1.65B+6.6%$1.74B+57.7%$1.78B+187%$1.87B+1,013%$1.55B
$300K-81.3%$625K-51.9%$950K-5.0%$1.28M+82.1%
$4.5M-58.7%$6.1M-41.3%$7.7M-22.2%$9.3M-1.1%

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Questions, answered.

How much cash does Kelly Services generate?
Kelly Services (KELYB) generated $122.5M in operating cash flow over the trailing twelve months.
What is Kelly Services's free cash flow?
After $7.1M of capital expenditures, Kelly Services's free cash flow was $115.2M over the trailing twelve months, up 46.0% year over year.
Where does Kelly Services's cash flow data come from?
Every line is extracted from Kelly Services'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.