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Nordson NDSN Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$117.32M-12.0%$133.38M-12.0%$151.63M+20.6%$125.78M+11.9%$112.4M+18.8%
$36.32M-0.7%$36.59M$37.85M+0.7%$37.58M+1.5%
$6.15M+25.7%$4.89M-14.0%$5.69M+48.5%$3.83M-20.0%$4.79M+3.4%
$180.67M+28.7%$140.43M-30.8%$202.91M-14.7%$237.97M+99.7%$119.17M-25.1%
$10.18M-41.9%$17.51M+93.3%$9.06M-21.7%$11.56M-27.9%$16.04M-25.0%
-$22.35M-26.5%-$17.67M-$17.63M-37.5%-$12.82M+10.2%
$45.86M+0.2%$45.79M-0.6%$46.06M+4.5%$44.07M-0.6%$44.34M-0.6%
$43.3M-49.6%$86M-2.5%$88.17M+22.6%$71.94M-16.5%$86.15M+43.4%
$267.36M+40,226%$663K+116%$307K-98.7%$22.99M+1,289%
$109.47M-58.7%$264.99M+104%$130.14M+45.9%$89.17M+1,332%$6.23M-74.3%
-$176.55M-57.3%-$112.24M+57.1%-$261.9M-28.6%-$203.72M-79.9%-$113.23M+11.2%
-$18.38M-254%$11.95M+130%-$39.35M-323%$17.63M+6,703%-$267K-102%
$170.49M+38.7%$122.92M-36.6%$193.85M-14.4%$226.41M+120%$103.13M-25.1%

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Questions, answered.

How much cash does Nordson generate?
Nordson (NDSN) generated $762.0M in operating cash flow over the trailing twelve months.
What is Nordson's free cash flow?
After $48.3M of capital expenditures, Nordson's free cash flow was $713.7M over the trailing twelve months, up 55.3% year over year.
Where does Nordson's cash flow data come from?
Every line is extracted from Nordson'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.