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Kimberly-Clark KMB Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$2.15B-12.9%$2.05B-19.5%$1.97B-24.5%$2.43B+6.3%$2.47B+33.6%
$780M-4.2%$805M+3.1%$833M+10.9%$848M+13.2%$814M+8.5%
$131M0.0%$140M+6.9%$136M-8.1%$133M-21.3%$131M-26.0%
$270M$241M
-$13M-103%-$42M-109%-$42M-109%$521M+777%$469M+534%
-$16M-329%-$8M-367%$18M+142%-$1M+92.9%$7M+122%
$181M-19.6%$183M-19.4%$199M-7.0%
-$3M-117%$15M+400%$11M-62.1%$33M+73.7%$18M+260%
$3.2B+2.3%$2.78B-14.1%$2.62B-27.8%$2.87B-20.2%$3.12B-7.2%
$1.36B+85.8%$1.14B+57.8%$950M+30.3%$770M+5.6%$731M-3.7%
$60M$33M$14M$649M
-$7.75M+16.2%
-$1.19B-3,024%-$951M-851%-$844M-1,355%-$36M+95.0%-$38M+92.7%
$1.67B+2.3%$1.66B+2.0%$1.65B+1.9%$1.64B+2.2%$1.64B+2.5%
$80M-92.1%$141M-85.9%$388M-56.0%$964M+203%$1.01B+304%
$804M+69.3%
$10M-93.9%$40M-70.6%$48M-62.5%$131M+212%$163M+83.1%
-$88.5M-60.2%
-$2.02B+39.9%-$2.18B+31.2%-$2.26B+30.2%-$3.35B-50.9%-$3.36B-36.6%
$7M+109%-$13M+85.9%
-$290M-188%
-$13M-103%-$42M-109%-$42M-109%$521M+777%$469M+534%
$205M+3.0%$196M-9.3%$181M-19.6%$183M-19.4%$199M-7.0%
-$69M+77.0%
$3.25M+115%
$398M-34.4%$447M-26.1%$524M-17.0%$590M+2.8%$607M-5.2%
$449M-28.6%$552M-1.8%$550M-13.8%$609M+5.0%$629M-6.8%
-$60M-200%-$49M-277%-$66M-700%-$66M-$20M
$60M$33M$14M$649M
-$94M-5.6%-$111M-29.1%-$96M-37.1%-$82M-7.9%-$89M-61.8%
$5.06+2.8%$5.04+3.3%$5.00+3.3%$4.96+3.3%$4.92+3.4%
$12.93B+10.6%$12.85B+3.6%$12.78B-2.9%
$6.37-13.6%$6.08-19.8%$5.93-23.4%$7.29+7.5%$7.37+34.7%
$6.37-13.2%$6.07-19.6%$5.91-23.4%$7.26+7.4%$7.34+34.7%
$6.79B-0.2%$6.87B-3.0%$7B-3.0%
$2.18B-6.5%$2.05B-15.1%$1.97B-23.5%$2.38B+12.7%$2.33B+8.0%
$5.18-16.6%$4.88-24.1%$4.77-26.4%$6.19+20.7%$6.21+27.8%
$5.18-16.3%$4.87-24.0%$4.76-26.3%$6.17+20.6%$6.19+27.8%
$260M-5.8%$262M-7.4%$267M-7.0%
$29M-58.0%$41M-40.6%$45M-34.8%
$32M+14.3%$28M-15.2%$22M-29.0%$22M-18.5%$28M+1,300%
3.52
$2.47B-20.9%$2.35B-29.8%$2.77B-10.2%$3.18B+12.1%$3.13B+29.7%
$19.72B+6.7%$19.72B+1.2%$19.79B-2.9%
1.3B-1.2%1.3B-1.0%1.3B-0.7%
1.3B-1.2%1.3B-1.1%1.3B-0.8%
$1.84B-23.2%$1.64B-34.8%$1.67B-42.4%$2.1B-26.8%$2.39B-8.3%
$1.84B-23.2%$1.64B-34.8%$1.67B-42.4%$2.1B-26.8%$2.39B-8.3%

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Questions, answered.

How much cash does Kimberly-Clark generate?
Kimberly-Clark (KMB) generated $3.2B in operating cash flow over the trailing twelve months.
What is Kimberly-Clark's free cash flow?
After $1.4B of capital expenditures, Kimberly-Clark's free cash flow was $1.8B over the trailing twelve months, down 23.2% year over year.
Where does Kimberly-Clark's cash flow data come from?
Every line is extracted from Kimberly-Clark'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.