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Patrick Industries PATK Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$136.3M-3.7%$135.06M-2.4%$120.54M-22.1%$126.1M-17.8%$141.55M-4.2%
$170.34M+0.9%$170.21M+2.2%$169.77M+5.7%$169.98M+9.8%$168.86M+13.0%
$19.8M+19.5%$19.07M+13.7%$17.58M-12.7%$18.33M-13.6%$16.56M-15.7%
$275.33M-17.0%$329.41M+0.8%$301.22M-11.2%$343.65M-14.7%$331.74M-25.4%
$81.68M+1.6%$82.92M+9.6%$90.16M+45.8%$81.72M+48.8%$80.36M+48.2%
$81.4M-37.2%$121.74M-70.4%$70.5M$129.16M$129.66M
-$166.34M+20.1%-$206.49M+59.7%-$164.34M+66.9%-$212.65M+47.9%-$208.21M+52.0%
$57.72M+13.1%$55.27M+10.1%$53.09M+8.5%$52.09M+11.6%$51.04M+15.0%
$36.63M+421%$13.17M-13.0%
$773.81M-13.5%$744.43M-43.6%$784.85M-32.4%$790.87M-20.8%$894.86M+8.7%
$44.39M$0
$210.85M-16.1%$263.69M+5.0%$228.25M-17.7%$261.93M-24.7%$251.38M-35.6%

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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.