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Altria Group MO Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$8.05B+15.9%$6.95B-21.7%$8.87B+0.9%$8.79B-14.0%$10.21B-9.3%
$251M-5.6%$266M-6.7%$285M-1.4%$289M-1.0%$292M+2.1%
-$296M+6.3%-$316M-206%$298M-44.8%$540M-51.6%$1.12B+17.2%
$0-100%$675M-50.0%$1.35B-33.3%$2.03B-25.0%
$85M+215%$27M
$41M-64.7%
$185M+66.7%
$8.89B-4.3%$9.29B-0.7%$9.36B+5.4%$8.88B+2.4%$8.67B-1.8%
$271M+25.5%$216M+26.3%$171M+15.5%$148M+2.1%$145M+2.1%
-$407M-19.4%-$341M
$7.01B+0.7%$6.96B+0.7%$6.91B+0.5%$6.88B+0.5%$6.84B0.0%
$954M-4.6%$1B-2.2%$1.02B-35.7%$1.59B+19.9%$1.33B-61.0%
$997M
-$9.69B-27.2%-$7.62B-0.3%-$7.59B+17.7%-$9.22B-26.1%-$7.31B+36.4%
-$1.2B-190%$1.33B
$1.11B0.0%$1.11B0.0%$1.11B0.0%$1.11B0.0%
$1.7B-1.6%$1.72B-1.5%$1.75B-1.5%$1.78B-1.5%
$956M-0.4%$960M+3,592%$26M
$25M
$525M+2.9%$510M-1.9%$520M-1.7%$529M+5.8%$500M-23.3%
-$68M+12.8%-$78M+14.3%-$91M+3.2%-$94M+4.1%-$98M+8.4%
$15M-6.3%$16M0.0%$16M-11.1%$18M-5.3%$19M+5.6%
$136M+8.8%$125M+303%$31M-11.4%$35M-10.3%$39M+8.3%
-$42M-5.0%-$40M0.0%-$40M+71.2%-$139M-1.5%-$137M-9.6%
$1.7B-0.2%$1.7B-0.2%$1.7B-0.2%$1.71B-0.2%
$8.62B-5.0%$9.07B-1.2%$9.19B+5.3%$8.73B+2.0%$8.56B-1.8%
$8.62B-5.0%$9.07B-1.2%$9.19B+5.3%$8.73B+2.0%$8.56B-1.8%

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Questions, answered.

How much cash does Altria Group generate?
Altria Group (MO) generated $8.9B in operating cash flow over the trailing twelve months.
What is Altria Group's free cash flow?
After $271.0M of capital expenditures, Altria Group's free cash flow was $8.6B over the trailing twelve months, up 0.8% year over year.
Where does Altria Group's cash flow data come from?
Every line is extracted from Altria Group'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.