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Mays, Inc. MAYS Cash Flow Statement

Q3 '26Q2 '26Q1 '26Q3 '25Q2 '25
-$216.86K+57.4%-$508.96K-52.4%-$334.03K-485%$86.78K+155%-$157.68K-692%
$471.71K+0.2%$470.68K-0.3%$472.26K+3.3%$457.29K+2.7%$445.27K+0.3%
$92K-55.6%$207K+42.8%$145K+530%$23K+150%-$46K-667%
$1.41K-74.8%$5.59K-41.4%
-$167.7K
$513.89K+460%-$142.86K+62.8%-$384.19K-175%$514.1K+422%
$748.04K+738%-$117.3K+58.3%-$281.37K-147%$604.62K+254%
-$1.15M-$1.49M-44.8%-$1.03M
$115.99K$87.84K-37.8%$141.14K+383%$29.24K-72.6%
$1.44M$1.92M-0.3%$1.93M
$2.75M+180%$983.5K+139%$411.35K-61.2%$1.06M+423%$202.75K-55.9%
-$2.75M-180%-$983.5K-139%-$411.35K+61.2%-$1.06M-423%-$202.75K+55.9%
$3.15M+7,605%$40.94K+1.0%$40.53K+2.0%$39.73K-83.4%$239.27K-28.8%
$2.98M+7,371%-$40.94K-1.0%-$40.53K-2.0%-$39.73K+83.4%-$239.27K+28.8%
$1.67M+195%-$1.75M-219%$1.47M+77.4%$828.68K
$224.2K+19.9%$186.96K+42.5%$131.15K+5.1%$124.78K-2.0%$127.37K+1.6%
$1.41K-74.8%$5.59K-41.4%
$115.99K$87.84K-37.8%$141.14K+383%$29.24K-72.6%
-$167.7K
$92K-55.6%$207K+42.8%$145K$46K+867%
-$1.15M-$1.49M-44.8%-$1.03M
$22.2K$34.5K-14.9%$40.52K
$471.71K+0.2%$470.68K-0.3%$472.26K+3.3%$457.29K+2.7%$445.27K+0.3%
$3.83K-42.1%$6.62K+43.2%$4.62K$9.59K+930%
-$1.31M+23.6%-$1.71M-213%$1.51M+74.0%$868.42K
-$1.31M+23.6%-$1.71M-213%$1.51M+74.0%$868.42K

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Questions, answered.

How much cash does Mays, Inc. generate?
Mays, Inc. (MAYS) generated $7.1M in operating cash flow over the trailing twelve months.
What is Mays, Inc.'s free cash flow?
After $5.2M of capital expenditures, Mays, Inc.'s free cash flow was -$643.7K over the trailing twelve months, up 44.1% year over year.
Where does Mays, Inc.'s cash flow data come from?
Every line is extracted from Mays, Inc.'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.