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Onity Group ONIT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$175M$189.5M
$4.3M-17.3%$4.4M-18.5%$4.6M-25.8%$4.9M-23.4%$5.2M-21.2%
$7.2M-8.9%$7.6M-2.6%$8M-7.0%$7.2M-30.8%$7.9M-17.7%
-$750K-114%
$31.3M-3.7%$27.6M-20.9%$27.6M-15.6%$28.6M-4.0%$32.5M+39.5%
$18M-17.4%$17.8M-25.8%$17.3M-34.0%$18.8M-31.4%$21.8M-19.0%
-$15.1M+76.9%
$1M-56.5%$1M-65.5%$1.3M-59.4%$1.7M-55.3%$2.3M-48.9%
$29.8M-$79.7M
$26.57B+43.9%$24.53B+44.6%$22.08B+48.8%$19.36B+30.8%$18.47B+43.9%
-$964.9M-440%-$444M-460%
$2.7M+170%$2.9M+263%$1.5M+400%$900K+50.0%$1M-16.7%
$60.4M+121%$41.3M+11.9%$20.1M-39.6%$29.5M+134%$27.3M+23.5%
$0-100%$11.58M-66.7%$23.15M0.0%$34.73M+200%
$1.82B+120%$1.85B+360%$1.51B+862%$1.16B+2,191%$824.7M+1,082%
$16.1M+15.0%$7.9M-53.0%$14.6M+132%$13.7M+226%$14M+94.4%
$4.2M+180%$4.2M+740%$3.6M$2.6M$1.5M
$0-100%$5M-66.7%$10M0.0%$15M+200%
$288.9M$280.2M$250.6M$257.8M
$8.1M$8.2M$3.5M$4.3M
$31.3M-3.7%$27.6M-20.9%$27.6M-11.5%$28.6M+6.3%$32.5M+50.5%
$1M-56.5%$1M-65.5%$1.3M-59.4%$1.7M-55.3%$2.3M-48.9%
$0-100%$3.43M-66.7%$6.85M0.0%$10.28M+200%
$29.8M-$79.7M
$115.3M+92.5%$93M+57.6%$62.1M+8.0%$53.8M+34.8%$59.9M+23.0%
$31.5M$39.2M
$47M+63.8%$42.43M+67.0%$37.85M+71.3%$33.28M+77.0%
$28.97B+51.8%$25.52B+43.4%$23.1B+51.7%$20.55B+38.9%$19.08B+44.2%
$18M-17.4%$17.8M-25.8%$17.3M-34.0%$18.8M-31.4%$21.8M-19.0%
$675.9M-41.3%$953M-15.3%$1.11B+4.5%$1.15B+9.9%$1.15B+9.9%
$462.1M+52.0%$373.4M+60.7%$357M+146%$321.3M+148%$304.1M+162%
$60.4M+121%$41.3M+11.9%$20.1M-39.6%$29.5M+134%$27.3M+23.5%
$0-100%$11.58M-66.7%$23.15M0.0%$34.73M+200%
$154.3M-26.2%$138.8M-32.2%$15.7M-91.9%$113.6M$209.2M
$65.7M+99.7%$51.2M+66.8%$48.4M+107%$40.9M+80.2%$32.9M+33.2%
$3.5M$2.63M$1.75M$875K
$16.1M+15.0%$7.9M-53.0%$14.6M+132%$13.7M+226%$14M+94.4%
$4.2M+180%$4.2M+740%$3.6M$2.6M$1.5M
$0-100%$325K-66.7%$650K0.0%$975K+200%
$0-100%$124.45M-66.7%$248.9M0.0%$373.35M+200%
$66.7M+28.8%$62.98M-36.8%$59.25M-59.9%$55.53M-71.6%
$1.09B+1.2%$1.08B+1.3%$1.08B+1.5%$1.08B+1.6%
$71.4M+0.3%$71.35M-7.6%$71.3M-14.4%$71.25M-20.2%
$340.5M+30.3%$301.5M+22.4%$244.6M+191%$243.9M+165%$261.3M+165%
$427.43M+31.9%
$2.78B+40.3%$3B+103%$2.87B+141%$2.43B+115%$1.98B+78.9%
$8.1M$8.2M$3.5M$4.3M
$0-100%$5M-66.7%$10M0.0%$15M+200%
$0-100%$125K-66.7%$250K0.0%$375K+200%
-$965.7M-441%-$444.9M-453%

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Questions, answered.

How much cash does Onity Group generate?
Onity Group (ONIT) generated -$2.6B in operating cash flow over the trailing twelve months.
What is Onity Group's free cash flow?
After $2.7M of capital expenditures, Onity Group's free cash flow was -$2.6B over the trailing twelve months, down 332.8% year over year.
Where does Onity Group's cash flow data come from?
Every line is extracted from Onity Group'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.