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Owens Corning OC Cash Flow Statement

FY'25FY'24FY'23FY'22
-$522M$1.19B-3.9%$1.24B+24.7%
$694M+2.5%$677M+11.2%$609M+14.7%$531M+5.8%
$71M-23.7%$93M+82.4%$51M0.0%$51M+2.0%
-$92M
$65M+51.2%$43M+129%-$148M-152%$287M+26.4%
-$130M-1,100%$13M+108%-$158M-144%$363M+20.2%
$36M+340%-$15M+65.9%-$44M
$16M+129%$7M-61.1%$18M
-$235M-3,817%-$6M-123%$26M+85.7%$14M-50.0%
$1.79B-5.6%$1.89B+10.1%$1.72B-2.3%$1.76B+17.1%
$824M+27.4%$647M+23.0%$526M+17.9%$446M+7.2%
$4M-77.8%$18M+12.5%$16M
-$765M+77.5%-$3.39B-853%-$356M+42.9%-$623M-65.3%
$232M+11.5%$208M+10.6%$188M+38.2%$136M+25.9%
$815M+66.0%$491M-25.3%$657M-17.4%$795M+39.5%
$873M
$45M+9.8%$41M+24.2%$33M+10.0%$30M+30.4%
$0$0
-$1M$1M+125%-$4M-131%
-$1.07B-$877M+10.0%-$974M-10.6%
$92M+200%-$92M
$38M$516M+266%$141M-41.7%
$0$0-100%$145M$0
-$451M$0$0
$45M$18M-66.0%
-$3M
$15M-65.9%$44M
$9M-10.0%$10M-9.1%$11M
$16M+129%$7M-61.1%$18M
$0-100%$483M$0$0
$4M-77.8%$18M+12.5%$16M
$68M-40.9%$115M$212M+138%
$45M+9.8%$41M+24.2%$33M+10.0%$30M+30.4%
$0$0
-$1M$1M+125%-$4M-131%
$720M
$720M
$962M-22.7%$1.25B+4.4%$1.19B-9.2%$1.31B+20.9%
$962M-22.7%$1.25B+4.4%$1.19B-9.2%$1.31B+20.9%

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Questions, answered.

How much cash does Owens Corning generate?
Owens Corning (OC) generated $1.7B in operating cash flow over the trailing twelve months.
What is Owens Corning's free cash flow?
After $854.0M of capital expenditures, Owens Corning's free cash flow was $827.0M over the trailing twelve months, down 26.2% year over year.
Where does Owens Corning's cash flow data come from?
Every line is extracted from Owens Corning'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.