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TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
$55.61M+12.4%$52.72M+15.6%$53.08M+17.8%$54M+37.0%$49.47M+15.5%
$22.84M+3.6%$22.7M+6.9%$22.47M+10.7%$22.04M+14.3%$22.05M+23.9%
$5.57M+8.9%$5.63M+12.5%$5.66M+16.5%$5.37M+11.4%$5.11M+15.8%
$78.4M0.0%$76.29M+2.1%$79.61M+27.0%$80.18M+32.9%$78.37M+54.7%
$29M-11.5%$29.57M-13.7%$28.81M-21.6%$32.56M+1.8%$32.77M+4.6%
$115K$44.38M
-$28.62M+62.9%-$29.42M+62.5%-$28.78M+64.4%-$32.53M+57.3%-$77.09M-146%
$9.73M+18.0%$9.08M+11.9%$8.74M+9.6%$8.4M+7.5%$8.25M+7.0%
$12.65M+445%$12.55M+430%$7.33M+88.3%$2.35M-15.4%$2.32M-34.5%
$1M-90.9%$1M-90.9%$6M0.0%$11M+1,000%$11M+4,300%
-$23.38M-101%-$22.63M-1,343%-$22.07M-1,179%-$21.74M-361%-$11.66M-418%
$28.88M+280%$25.98M+457%-$10.35M-161%
$49.41M+8.3%$46.72M+15.5%$50.8M+96.0%$47.62M+68.2%$45.61M+136%

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Questions, answered.

How much cash does Oil-Dri Corporation of America generate?
Oil-Dri Corporation of America (ODC) generated $78.4M in operating cash flow over the trailing twelve months.
What is Oil-Dri Corporation of America's free cash flow?
After $29.0M of capital expenditures, Oil-Dri Corporation of America's free cash flow was $49.4M over the trailing twelve months, up 8.3% year over year.
Where does Oil-Dri Corporation of America's cash flow data come from?
Every line is extracted from Oil-Dri Corporation of America'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.