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Patrick Industries PATK Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$39.48M+3.2%$29.08M+99.7%$35.3M-13.6%$32.44M-32.3%$38.24M+9.0%
$42.78M+0.3%$42.99M+1.1%$41.97M-0.5%$42.61M+2.7%$42.65M+5.7%
$5.98M+13.9%$3.9M+61.9%$3.87M-16.4%$6.05M+41.3%$5.25M-3.9%
-$3.79M-166%-$13.74M-312%-$29.58M$2.05M$5.74M
$823K+3.7%$835K-0.8%$822K+0.9%$817K+1.0%$794K-1.2%
$155K+108%-$78K$0-100%-$52K-115%-$2.04M-14,686%
$29.17M+644%$42.71M+67.7%-$5.37M+69.8%
$21.32M-55.1%-$56.64M-$51.81M$59.95M+369%$47.52M+110%
-$443K+96.7%$12.67M+245%-$13.37M-411%
-$211K-113%$1.64M+2,548%$1.6M+2,646%
$0+100%$0+100%$0+100%$0+100%
$99.52M-7.7%-$98.08M-25.9%$7.39M+281%-$18.92M+22.7%$107.81M+20.4%
-$14.01M-135%$130.84M+27.5%$9.1M-82.3%$149.39M+8.7%$40.08M+13.9%
$18.93M-6.2%$18.18M-28.5%$26.3M+47.3%$18.28M+8.0%$20.17M+30.2%
$7.22M-84.8%$51.42M+28,308%$22.18M-72.6%$581K-46.5%$47.56M-85.6%
$281K+603%$511K-74.0%$2.21M+2,880%$1.82M+5,111%$40K-99.8%
$489K-71.0%$515K+333%$408K+129%$148K-92.4%$1.68M+908%
-$25.94M+60.8%-$69.59M-154%-$50.28M+49.0%-$20.53M-27.6%-$66.09M+82.2%
$16.31M+17.7%$15.3M+16.7%$13.02M+8.3%$13.09M+8.8%$13.86M+6.5%
$14.69M+72.6%$23.46M$8.51M
$292.82M+11.2%$124.55M-24.5%$274.34M-2.1%$82.1M-55.9%$263.43M-61.8%
$197.82M+28.9%-$609.88M$219.34M+4.3%$237.1M-10.9%$153.43M-51.1%
$11.16M+29.8%$2.01M+823%$308K-86.2%$18K-81.1%$8.59M-41.9%
$1.75M+10,838%$0-100%$15K-57.1%$17K-98.4%$16K-99.5%
$50.98M-35.5%-$55.52M-$193.45M$79.01M-76.9%
$11.04M-79.2%-$1.28M-115%-$64.59M-345%$53M+755%
$823K+3.7%$835K-0.8%$822K+0.9%$817K+1.0%$794K-1.2%
$99.52M-7.7%-$98.08M-25.9%$7.39M+281%-$18.92M+22.7%$107.81M+20.4%
-$3.79M-166%-$13.74M-312%-$29.58M$2.05M$5.74M
-$443K+96.7%$12.67M+245%-$13.37M-411%
-$211K-113%$1.64M+2,548%$1.6M+2,646%
$281K+603%$511K-74.0%$2.21M+2,880%$1.82M+5,111%$40K-99.8%
$489K-71.0%$515K+333%$408K+129%$148K-92.4%$1.68M+908%
-$105K-1,067%-$80K-139%-$195K-3,150%-$300K-$9K+88.0%
$0-100%$0-100%$0-100%$0-100%
-$32.93M-265%$112.67M+45.9%$0-100%$131.12M+8.7%$19.91M+1.1%
-$32.93M-265%$112.67M+45.9%$0-100%$131.12M+8.7%$19.91M+1.1%

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Questions, answered.

How much cash does Patrick Industries generate?
Patrick Industries (PATK) generated $275.3M in operating cash flow over the trailing twelve months.
What is Patrick Industries's free cash flow?
After $81.7M of capital expenditures, Patrick Industries's free cash flow was $210.8M over the trailing twelve months, down 16.1% year over year.
Where does Patrick Industries's cash flow data come from?
Every line is extracted from Patrick 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.