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Nutanix, Inc. NTNX Cash Flow Statement

TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
$275.86M+3.3%$267.13M+21.1%$220.54M+17.1%$188.37M+698%$23.62M+143%
$71.83M-1.2%$72.7M-0.3%$72.9M+0.3%$72.7M+0.1%$72.66M-0.8%
$348.31M-0.4%$349.74M+2.7%$340.6M-3.1%$351.59M+1.0%$347.99M+0.6%
$5.44M+0.5%$5.42M+11.6%$4.85M+25.1%$3.88M-62.7%$10.38M-49.3%
$47.53M+8.4%$43.87M+46.1%$30.02M+266%$8.2M+43.3%
$1.55M
$8.07M-5.2%$8.52M+281%$2.24M-53.7%$4.83M+3.0%$4.69M-36.5%
$272.21M+59.8%$170.39M-29.2%$240.83M+18.2%$203.76M-20.1%$255.04M-8.8%
$821.2M-1.3%$832.21M-2.8%$856.53M+4.3%$821.46M-3.0%$846.62M+16.9%
$50.32M-8.7%$55.09M-34.2%$83.77M+17.5%$71.28M-10.9%$79.97M-3.5%
$1.1B-18.0%$1.34B-13.0%$1.54B+13.2%$1.36B+26.8%$1.07B+18.0%
$810.8M+8.7%$745.76M+20.1%$621.13M+30.4%$476.17M+13.0%$421.56M-16.9%
$0$0
-$998.04M-4.9%-$951.69M-4,099%-$22.67M-110%
$483.28M+2.6%$470.9M+39.3%$338.03M+9.8%$307.9M+8.8%$282.87M-3.1%
$848.01M+33.3%$636.01M+50.0%
$69.86M+1.3%$68.94M-0.7%$69.44M+5.7%
$32.96M-0.3%$33.07M+3.9%$31.84M-2.1%$32.54M+15.1%$28.26M-1.7%
$5.44M+0.5%$5.42M+11.6%$4.85M+25.1%$3.88M-62.7%$10.38M-49.3%
$0-100%$26.97M-50.0%
$0$0
-$25.32M-69.6%
$14.07M-57.7%$33.29M+184%$11.74M-61.0%
$29.03M-2.1%$29.64M-2.0%
-$29.95M+0.4%-$30.08M+0.4%
$1.55M
$11.35M+33.3%$8.51M+50.0%
$8.07M-5.2%$8.52M+281%$2.24M-53.7%$4.83M+3.0%$4.69M-36.5%
$0$0
$810.8M+8.7%$745.76M+20.1%$621.13M+30.4%$476.17M+13.0%$421.56M-16.9%
$2M+33.3%$1.5M+50.0%
$95.45M+33.3%$71.59M+50.0%
$2.79M+33.3%$2.1M
$848.01M+33.3%$636.01M+50.0%
$69.86M+1.3%$68.94M-0.7%$69.44M+5.7%
$213.12M-13.2%$245.47M-7.9%$266.59M+3.9%$256.64M-2.4%$262.85M+2.4%
$12.36M
$0-100%$1.5M-50.0%
$32.96M-0.3%$33.07M+3.9%$31.84M-2.1%$32.54M+15.1%$28.26M-1.7%
$770.88M-0.8%$777.11M+0.6%$772.76M+3.0%$750.17M-2.1%$766.65M+19.5%
$770.88M-0.8%$777.11M+0.6%$772.76M+3.0%$750.17M-2.1%$766.65M+19.5%

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Questions, answered.

How much cash does Nutanix, Inc. generate?
Nutanix, Inc. (NTNX) generated $821.2M in operating cash flow over the trailing twelve months.
What is Nutanix, Inc.'s free cash flow?
After $50.3M of capital expenditures, Nutanix, Inc.'s free cash flow was $770.9M over the trailing twelve months, up 0.5% year over year.
Where does Nutanix, Inc.'s cash flow data come from?
Every line is extracted from Nutanix, 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.