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Blue Owl Capital OWL Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$348.41M+1.0%$305.49M-27.3%$225.79M-47.6%$277.75M-29.6%$345.1M+18.7%
$24.27M+25.0%$23.45M+40.7%$22.45M+54.5%$21.57M+72.7%$19.41M+74.6%
$699.37M+67.9%$673.52M+115%$621.14M+109%$525.66M+78.7%$416.57M+36.6%
$1.34B+38.3%$1.26B+25.7%$1.2B+21.7%$1.09B+16.0%$969.89M+10.8%
$58.23M-18.4%$57.75M-10.0%$47.94M-42.8%$48.54M-46.7%$71.39M+4.4%
$661.83M+1,121%$649.92M
-$113.75M+86.1%-$283.68M+55.5%-$329.96M+46.4%-$750.33M-255%-$819.84M-728%
$587.19M+42.1%$546.66M+48.4%$505.47M+56.0%$460.22M+60.7%$413.15M+61.9%
$78.69M$53.69M$1.69M$1.69M
$2.35B-2.5%$2.27B+4.6%$1.88B-17.4%$1.53B-36.2%$2.41B+69.7%
$1.72B+34.9%$1.54B+23.7%$1.2B-17.5%$750M-55.4%$1.28B+14.3%
-$1.15B-451%-$943.04M-201%-$845.87M-157%-$658.92M-97.9%-$208.2M+68.4%
$1.28B+42.8%$1.2B+28.1%$1.15B+27.7%$1.04B+22.8%$898.51M+11.3%

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Questions, answered.

How much cash does Blue Owl Capital generate?
Blue Owl Capital (OWL) generated $1.3B in operating cash flow over the trailing twelve months.
What is Blue Owl Capital's free cash flow?
After $58.2M of capital expenditures, Blue Owl Capital's free cash flow was $1.3B over the trailing twelve months, up 42.8% year over year.
Where does Blue Owl Capital's cash flow data come from?
Every line is extracted from Blue Owl Capital'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.