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LeMaitre Vascular LMAT Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$17.05M+23.7%$15.68M+42.4%$15.58M+39.3%$17.36M+55.8%$13.78M+16.5%
$2.66M+0.5%$2.62M+2.8%$2.61M+7.8%$2.61M+7.7%$2.65M+11.1%
$1.94M-0.5%$2.09M+2.2%$2.1M+20.5%$1.74M+8.1%$1.94M+20.8%
$15.97M-21.3%$15.09M+67.0%$23.16M+52.5%$28.76M+102%$20.29M+111%
$2.31M+72.4%$2.78M+101%$1.78M-13.1%$2.28M+36.6%$1.34M-28.5%
$113K+122%$45K+2.3%$1.8M$0$51K
-$11.08M+32.2%-$13.12M-204%-$16.83M+90.3%-$27.45M-113%-$16.35M-48.6%
$5.72M+26.5%$5.71M+26.4%$4.54M+26.0%$4.54M+26.1%$4.52M+25.8%
$17K+325%$460K-23.5%$1.22M-10.1%$0-100%$4K-42.9%
-$5.05M-82.8%-$3.22M+38.6%-$3.59M-102%-$2.95M+6.3%-$2.76M+3.7%
-$226K-112%-$1.39M-416%$2.75M-40.3%-$1.68M-32.8%$1.84M+142%
$13.65M-28.0%$12.31M+60.8%$21.38M+62.7%$26.48M+111%$18.95M+145%

FAQ

How much cash does LeMaitre Vascular generate?
LeMaitre Vascular (LMAT) generated $83.0M in operating cash flow over the trailing twelve months.
What is LeMaitre Vascular's free cash flow?
After $9.2M of capital expenditures, LeMaitre Vascular's free cash flow was $73.8M over the trailing twelve months, up 41.1% year over year.
Where does LeMaitre Vascular's cash flow data come from?
Every line is extracted from LeMaitre Vascular'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.