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Linde LIN Cash Flow Statement

FY'25FY'24FY'23FY'22
$6.9B+5.1%$6.57B+5.9%$6.2B+49.5%$4.15B+8.4%
$3.76B-0.4%$3.78B-0.9%$3.82B-9.2%$4.2B-9.3%
-$47M+16.1%-$56M-144%$127M-63.4%$347M
$191M-40.9%$323M
$10.35B+9.8%$9.42B+1.3%$9.31B+5.0%$8.86B-8.9%
$5.26B+17.0%$4.5B+18.7%$3.79B+19.4%$3.17B+2.8%
$412M+30.0%$317M-66.7%$953M+766%$110M+25.0%
-$5.72B-23.2%-$4.64B+0.6%-$4.67B-51.2%-$3.09B-2.7%
$2.81B+5.9%$2.66B+7.0%$2.48B+5.9%$2.34B+7.1%
$4.6B+2.7%$4.48B+13.2%$3.96B-23.4%$5.17B+12.1%
$5.15B+6.3%$4.84B+121%$2.19B
$2.28B+74.6%$1.31B-22.4%$1.68B-5.8%$1.79B+36.6%
$23M-25.8%$31M-6.1%$33M-8.3%$36M-28.0%
-$4.55B-4.5%-$4.36B+19.3%-$5.4B
$206M
$548M+23.7%$443M-1.8%$451M+165%$170M-27.0%
-$409M-143%-$168M
$23M+132%-$72M-267%$43M+188%-$49M-158%
$164M+2.5%$160M+13.5%$141M+31.8%$107M-16.4%
-$465M
-$55M-$66M-139%$169M+322%
-$139M$118M
$25M-28.6%$35M-23.9%$46M-9.8%$51M+21.4%
$95M$0
$42M-75.3%$170M+143%$70M-65.9%$205M+22.8%
-$420M-$88M+72.8%
$554M-81.8%$3.05B+329%
-$420M-$88M+72.8%
$5.09B+3.3%$4.93B-10.7%$5.52B-3.0%$5.69B-14.3%
$5.09B+3.3%$4.93B-10.7%$5.52B-3.0%$5.69B-14.3%

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Questions, answered.

How much cash does Linde generate?
Linde (LIN) generated $10.4B in operating cash flow over the trailing twelve months.
What is Linde's free cash flow?
After $5.3B of capital expenditures, Linde's free cash flow was $5.1B over the trailing twelve months, up 3.8% year over year.
Where does Linde's cash flow data come from?
Every line is extracted from Linde'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.