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Oxford Industries OXM Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$39.08M-40.1%-$27.89M-857%-$2.92M-105%$60.77M-28.3%$84.72M-12.6%
$56.26M+0.1%$56.22M-1.2%$56.89M-0.8%$57.38M+1.0%$56.82M+1.7%
$15.8M+0.8%$15.68M-5.2%$16.54M+1.1%$16.35M+0.8%$16.23M-2.7%
$140.58M+9.2%$128.74M-24.3%$170.06M0.0%$170.06M-3.0%$175.38M-17.4%
$107.68M-0.6%$108.34M-20.0%$135.42M+0.1%$135.31M-7.2%$145.76M+8.6%
$7.48M-2.8%
-$107.72M+0.6%-$108.4M+24.1%-$142.9M+0.6%-$143.77M+7.0%-$154.59M-7.9%
$42.35M+0.5%$42.13M-0.4%$42.31M-0.6%$42.55M-1.2%$43.06M-0.4%
$4.69M-91.5%$55.22M0.0%$55.22M0.0%$55.2M+9.3%$50.53M
$497.74M-7.2%$536.23M-1.6%$545.14M+4.4%$522.07M+13.8%$458.57M+13.7%
$472.74M+4.8%$450.89M-2.5%$462.52M+5.0%$440.69M+22.6%$359.49M-10.5%
-$22.75M-76.4%-$12.89M+24.2%-$17M
-$11.53M-1,908%$638K-70.4%
$23.81M+111%$11.31M-55.7%$25.55M

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Questions, answered.

How much cash does Oxford Industries generate?
Oxford Industries (OXM) generated $140.6M in operating cash flow over the trailing twelve months.
What is Oxford Industries's free cash flow?
After $107.7M of capital expenditures, Oxford Industries's free cash flow was $23.8M over the trailing twelve months, down 73.4% year over year.
Where does Oxford Industries's cash flow data come from?
Every line is extracted from Oxford Industries'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.