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Koppers Holdings KOP Cash Flow Statement

FY'25FY'24FY'23FY'22
$56M$89.8M+42.1%$63.2M-25.6%
$13.8M-33.7%$20.8M+20.2%$17.3M+31.1%$13.2M+1.5%
$11.3M+304%$2.8M-50.9%$5.7M+111%$2.7M-84.0%
-$10M
-$30.9M-281%-$8.1M+45.6%-$14.9M
$6.3M
-$400K
$1.1M
-$7.6M-203%$7.4M-$3.5M
$3.7M+12.1%$3.3M-32.7%$4.9M+75.0%$2.8M+3.7%
$122.5M+2.6%$119.4M-18.3%$146.1M+42.8%$102.3M-0.7%
$55M-28.9%$77.4M-35.8%$120.5M+14.4%$105.3M-15.8%
$4.8M$0$0-100%$4.4M
$0
-$73.5M+57.6%-$173.3M-49.4%-$116M-1.0%-$114.8M-28.3%
$6.4M+8.5%$5.9M+18.0%$5M+19.0%$4.2M
$38.2M-24.8%$50.8M+153%$20.1M-14.8%$23.6M+105%
$0
$4.9M-14.0%$5.7M
$1.4M-73.6%$5.3M-46.5%$9.9M+800%$1.1M-54.2%
-$58.5M
$500K
-$22.6M-168%$33.2M
$63.5M-19.1%$78.5M+12.1%$70M+69.5%$41.3M+8.4%
$9.4M-65.9%$27.6M-19.5%$34.3M+65.7%$20.7M-11.5%
$3.7M+12.1%$3.3M-32.7%$4.9M+75.0%$2.8M+3.7%
$34.2M+533%-$7.9M-978%$900K
$0$0
$73.6M+9.0%$67.5M+18.4%$57M+1.6%$56.1M-2.8%
$19.7M+348%$4.4M$0
-$10M
-$2.2M
$0$0
$1.7M+113%$800K-86.9%
$0
$1.7M+113%$800K-86.9%
$5.2M$2.8M-36.4%$4.4M
$500K
$39.2M+64.0%$23.9M-10.2%$26.6M+120%$12.1M-4.0%
$9.4M-65.9%$27.6M-19.5%$34.3M+65.7%$20.7M-11.5%
$67.5M$25.6M
$67.5M$25.6M

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Questions, answered.

How much cash does Koppers Holdings generate?
Koppers Holdings (KOP) generated $191.5M in operating cash flow over the trailing twelve months.
What is Koppers Holdings's free cash flow?
After $52.1M of capital expenditures, Koppers Holdings's free cash flow was $139.4M over the trailing twelve months, up 678.8% year over year.
Where does Koppers Holdings's cash flow data come from?
Every line is extracted from Koppers Holdings'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.