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KLA Corporation KLAC Cash Flow Statement

TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
$4.67B+2.5%$4.56B+7.6%$4.24B+4.3%$4.06B+9.9%$3.7B+15.2%
$391.62M+0.3%$390.63M-1.2%$395.28M+0.3%$394.09M-1.2%$398.84M-0.3%
$299.34M+4.8%$285.6M+4.4%$273.49M+3.2%$265.01M+5.0%$252.36M+5.7%
$4.4B-7.7%$4.77B+12.2%$4.25B+4.1%$4.08B+7.1%$3.81B+4.4%
$387.07M+0.8%$384.01M+3.6%$370.76M+10.6%$335.26M+13.4%$295.6M+3.6%
-$1.34B-14.9%-$1.17B-165%-$441.43M-118%-$202.48M-1,171%-$15.93M+97.1%
$1.01B+2.3%$983.4M+2.4%$960.52M+6.2%$904.59M+6.7%$848.15M+3.5%
$2.14B+5.9%$2.03B-4.8%$2.13B-1.0%$2.15B-2.0%$2.19B+6.5%
$750M+33.3%$562.5M+50.0%
-$3.14B-4.8%-$2.99B+21.8%-$3.83B-1.2%-$3.79B-0.3%-$3.77B-24.2%
-$71.01M-112%$613.85M+2,081%-$30.99M-130%$101.78M+933%$9.86M-94.3%
$4.01B-8.4%$4.38B+13.0%$3.88B+3.5%$3.75B+6.6%$3.51B+4.5%

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Questions, answered.

How much cash does KLA Corporation generate?
KLA Corporation (KLAC) generated $4.4B in operating cash flow over the trailing twelve months.
What is KLA Corporation's free cash flow?
After $387.1M of capital expenditures, KLA Corporation's free cash flow was $4.0B over the trailing twelve months, up 14.2% year over year.
Where does KLA Corporation's cash flow data come from?
Every line is extracted from KLA 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.