Skip to content

Omega Flex OFLX Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$13.07M-10.4%$14.58M-8.3%$15.9M-5.7%$16.86M-2.2%$17.24M-3.8%
$1.36M+0.1%$1.36M-0.5%$1.37M+0.5%$1.36M+4.1%$1.31M+4.3%
$283K+67.5%$169K
-$2.07M-51.1%-$1.37M+25.7%-$1.84M-16.4%-$1.58M-343%-$357K+56.9%
-$240K
-$977K-24.9%-$782K+49.4%-$1.55M-622%-$214K+76.4%-$908K-51.8%
$659K+0.2%$658K-1.8%$670K-11.5%$757K-0.7%$762K+0.4%
-$678K-1.0%-$671K+1.5%-$681K
$16.23M-5.5%$17.17M-11.6%$19.43M-6.4%$20.76M+5.4%$19.71M-5.5%
$1.98M+8.6%$1.82M-16.3%$2.18M+14.3%$1.9M-9.3%$2.1M+4.5%
-$1.98M-8.6%-$1.82M+16.3%-$2.18M-14.3%-$1.9M+9.3%-$2.1M-4.5%
$13.73M0.0%$13.73M0.0%$13.73M0.0%$13.73M+0.7%$13.63M+0.7%
-$13.73M0.0%-$13.73M0.0%-$13.73M0.0%-$13.73M-0.7%-$13.63M-0.7%
-$103K-296%-$26K-237%
$519K-68.0%$1.62M-54.0%$3.52M
$5.78M-1.7%$5.88M-0.9%$5.94M+0.1%$5.94M+6.8%$5.56M+0.4%
-$678K-1.0%-$671K+1.5%-$681K
-$977K-24.9%-$782K+49.4%-$1.55M-622%-$214K+76.4%-$908K-51.8%
-$114K-2,180%-$5K-105%$98K-44.6%
-$103K-296%-$26K-237%
-$678K-1.0%-$671K+1.5%-$681K
$935K-66.8%
$58K
$14.25M-7.2%$15.35M-11.0%$17.25M-8.5%$18.86M+7.1%$17.61M-6.6%
$14.25M-7.2%$15.35M-11.0%$17.25M-8.5%$18.86M+7.1%$17.61M-6.6%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does Omega Flex generate?
Omega Flex (OFLX) generated $16.2M in operating cash flow over the trailing twelve months.
What is Omega Flex's free cash flow?
After $2.0M of capital expenditures, Omega Flex's free cash flow was $14.2M over the trailing twelve months, down 19.1% year over year.
Where does Omega Flex's cash flow data come from?
Every line is extracted from Omega Flex'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.