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Olin OLN Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$83M-7,017%-$143.2M-1,518%$43.7M+273%-$2.8M-104%$1.2M-97.5%
$117.2M-11.3%$125.7M-2.7%$133.8M+2.8%$129.9M+0.7%$132.2M+1.9%
$4.7M+17.5%$5.1M-3.8%$5.4M0.0%$6.2M+210%$4M-9.1%
-$34.3M-88.5%$167.4M+116%-$4.6M+77.5%-$31.3M-233%-$18.2M-30.9%
$44.3M+0.9%-$180.1M$48.3M+193%$7.9M-84.4%$43.9M+241%
$62.7M+293%$56.3M-62.5%$140.7M+338%-$32.5M+66.1%
-$1.5M+67.4%$13.9M+297%-$8M-219%$6M-65.7%-$4.6M-757%
$6.6M+500%$26.2M+973%$1.1M-80.7%
$2.6M+85.7%$1.7M+221%-$1.4M-100%$1.4M+142%
-$1.5M+64.3%$1.4M+567%$14.6M-21.1%-$4.2M-16.7%
$2.8M-91.8%-$375.8M-1,527%$71.7M+863%$90.3M+123%$34M+454%
$300K+200%-$18.7M+22.7%$0-100%$500K0.0%$100K-66.7%
$73.9M-24.7%-$156.8M-226%$98.2M+162%
-$48.6M+43.5%$321.2M+127%$26.7M-85.9%$212.3M+134%-$86M-206%
$43.7M-28.8%$62.8M+23.1%$71.1M+64.2%$31M-45.1%$61.4M+38.6%
-$111.6M
-$1M-200%$0-100%$1.4M0.0%$2.3M+130%$1M-47.4%
-$43M+31.1%-$94M-22.6%-$73.3M-29.5%-$89.9M-18.8%-$62.4M+16.5%
$22.8M-0.9%$22.8M-2.1%$22.8M-2.1%$23M-3.0%$23M-3.8%
$0-100%$10.1M-76.8%$10.1M-77.8%$10.1M-90.5%$20.2M-80.8%
$441.6M-78.4%$270M-45.4%$155M+104%$289M-1.9%$2.04B+841%
$271.3M-85.3%$437M-19.3%$159M+62.1%$329.1M+119%$1.84B+1,405%
$2.1M+10.5%$200K-84.6%$200K-77.8%$0-100%$1.9M-90.4%
-$31.3M$0
$2.1M-82.5%$12M
$0$0$0$0
$116.2M-20.7%-$199.7M-75.6%$146.6M+679%
$0-100%$600K+700%$200K+150%
$24.6M+1,638%-$83.5M-291%$49.8M+59.6%-$1.6M+91.8%
$48.1M-26.3%$40.8M+67.2%$51.2M-23.5%$20.6M-22.8%$65.3M+3.8%
-$3.9M-108%$0-100%$24.1M+424%$93.7M+24.6%$50.5M+220%
$73.9M-24.7%$98.2M+162%
$28.33M+236%$28.33M+236%$28.33M+236%$28.33M+236%
-$44.95M-11,138%-$44.95M-11,138%-$44.95M-11,138%-$44.95M-11,138%
$2.8M-91.8%$71.7M$90.3M+123%$34M+454%
$6.6M+500%$26.2M$1.1M-80.7%
-$1.5M+67.4%$13.9M+297%-$8M-219%$6M-65.7%-$4.6M-757%
-$1.5M+64.3%$1.4M+567%$14.6M-21.1%-$4.2M-16.7%
$1.4M$700K$1M$1.4M$0
-$4.53M+22.3%-$4.53M+22.3%-$4.53M+22.3%-$4.53M+22.3%
$300K+200%$100K-75.0%$0-100%$500K0.0%$100K-66.7%
$3M-40.0%$4.3M-25.9%$4.2M-26.3%$5M-16.7%
$1.03M$1.03M$1.03M$1.03M
$300K$800K$800K$0
-$1M-200%$0-100%$1.4M0.0%$2.3M+130%$1M-47.4%
-$450K+92.2%-$450K+92.2%-$450K+92.2%-$450K+92.2%
$2.1M-82.5%$12M
$688.75M+155%$688.75M+155%$688.75M+155%$688.75M+155%
-$31.3M$0
$16.8M-37.5%$27.4M$26.9M+180%
-$3.9M-108%$0-100%$24.1M+424%$93.7M+24.6%$50.5M+220%
-$92.3M+37.4%$258.4M+185%-$44.4M-130%$181.3M+432%-$147.4M-502%
-$92.3M+37.4%$258.4M+185%-$44.4M-130%$181.3M+432%-$147.4M-502%

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Questions, answered.

How much cash does Olin generate?
Olin (OLN) generated $511.6M in operating cash flow over the trailing twelve months.
What is Olin's free cash flow?
After $208.6M of capital expenditures, Olin's free cash flow was $303.0M over the trailing twelve months, up 144.3% year over year.
Where does Olin's cash flow data come from?
Every line is extracted from Olin'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.