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O-I Glass OI Cash Flow Statement

FY'25FY'24FY'23FY'22
-$103M-18.4%-$87M-2.4%-$85M-114%$628M+265%
$391M-1.0%$395M+2.6%$385M+9.4%$352M-1.1%
$25M+66.7%$15M-65.1%$43M
$10M0.0%$10M-9.1%$11M0.0%$11M-21.4%
$50M+78.6%
$4M
-$67M-294%-$17M+57.5%-$40M+70.6%-$136M-512%
$31M-3.1%$32M+6.7%$30M-11.8%$34M+6.3%
$600M+22.7%$489M-40.2%$818M+431%$154M-77.6%
$432M-30.0%$617M-10.3%$688M+27.6%$539M+35.4%
$56M$98M-19.7%
-$368M+40.6%-$620M+9.2%-$683M-604%-$97M+55.9%
$40M0.0%$40M0.0%$40M0.0%$40M
$2.53B+129%$1.1B-17.3%$1.33B-53.3%$2.85B+179%
$2.64B+153%$1.04B-19.6%$1.3B-55.2%$2.9B+144%
-$2M
-$30M$47M+194%$16M+194%
-$250M-3,025%-$8M+70.4%-$27M-550%$6M+102%
$44M
$140M+192%$48M-70.9%
$88M-3.3%$91M-7.1%$98M-3.9%$102M+9.7%
$10M0.0%$10M-9.1%$11M0.0%$11M-21.4%
$5M0.0%$5M-73.7%$19M-5.0%$20M-73.0%
$391M-1.0%$395M+2.6%$385M+9.4%$352M-1.1%
$4M-92.7%$55M-34.5%
$445M
-$20M
$17M
$34M+6.3%$32M0.0%$32M+23.1%$26M-69.0%
$31M-3.1%$32M+6.7%$30M-11.8%$34M+6.3%
$445M$50M+78.6%
$29M+825%-$4M-117%$24M+1,100%
$56M$98M-19.7%
-$2M
-$30M$47M+194%$16M+194%
$44M
$128M+212%$41M+57.7%$26M+30.0%$20M-35.5%

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Questions, answered.

How much cash does O-I Glass generate?
O-I Glass (OI) generated $477.0M in operating cash flow over the trailing twelve months.
What is O-I Glass's free cash flow?
After $439.0M of capital expenditures, O-I Glass's free cash flow was -$916.0M over the trailing twelve months, down 16.0% year over year.
Where does O-I Glass's cash flow data come from?
Every line is extracted from O-I Glass'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.