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Omega Flex OFLX Cash Flow Statement

FY'25FY'24FY'23FY'22
$14.58M-18.6%$17.92M-13.5%$20.72M-12.4%$23.65M-9.9%
$1.36M+8.6%$1.26M+14.2%$1.1M+0.3%$1.1M+7.5%
$169K
$5K
-$1.37M-64.9%-$829K+32.4%-$1.23M
-$782K-30.8%-$598K+55.5%-$1.34M-130%$4.43M
$1.87M+160%
$658K-13.3%$759K+64.3%$462K-4.0%$481K+46.6%
-$671K-$461K+2.9%-$475K-41.8%
$17.17M-17.7%$20.86M-11.0%$23.42M+53.6%$15.25M-39.4%
$1.82M-9.2%$2.01M+22.2%$1.64M+74.3%$942K-3.0%
-$1.82M+9.2%-$2.01M-22.2%-$1.64M-74.3%-$942K+3.0%
$13.73M+1.5%$13.53M+3.1%$13.12M
-$13.73M-1.5%-$13.53M-3.1%-$13.12M
$19K-$25K+19.4%
$1.62M
$5.88M+6.3%$5.54M-8.6%$6.06M-30.2%$8.68M-9.6%
-$671K-$461K+2.9%-$475K-41.8%
-$782K-30.8%-$598K+55.5%-$1.34M-130%$4.43M
$177K-84.0%$1.11M+1,116%$91K
$5K
$19K-$25K+19.4%
-$671K-$461K+2.9%-$475K-41.8%
$2.81M+4,228%$65K-89.9%$644K-80.3%
$58K
$15.35M-18.6%$18.85M-13.4%$21.78M+52.3%$14.3M-40.8%
$15.35M-18.6%$18.85M-13.4%$21.78M+52.3%$14.3M-40.8%

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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.