Skip to content

Ralliant Corporation RAL Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$1.24B-1.6%-$1.22B-622%$234.1M-17.9%$285.1M-5.7%$302.3M-14.7%
$29.4M+2.8%$28.6M+6.7%$26.8M+2.7%$26.1M
$60.8M+8.2%$56.2M+6.6%$52.7M+92.3%$27.4M
$62.7M+18.8%$52.8M+23.1%$42.9M+30.0%$33M+42.9%
$1.44B+33.3%$1.08B+50.0%$720.85M+100%$360.43M
-$16.9M-11.2%-$15.2M-290%$8M+134%-$23.4M
$37.1M+167%$13.9M+31.1%$10.6M+254%-$6.9M
$5.8M+61.1%$3.6M+112%$1.7M+194%-$1.8M
$67M-31.4%$97.7M
$31.6M+69.0%$18.7M
$344.7M-13.3%$397.6M-13.0%$457.1M+0.1%$456.5M
$42.3M+7.9%$39.2M-10.3%$43.7M+15.6%$37.8M
$0-100%$250K-50.0%$500K-33.3%$750K-25.0%
-$42.3M-12.2%-$37.7M+91.7%-$454.53M+47.7%-$869.35M+32.3%-$1.28B+24.8%
-$41.2M+24.7%-$54.7M-118%$298.48M-55.8%$674.65M-22.7%$873.23M-30.8%
$6.9M-49.6%$13.7M+2,183%$600K-95.3%$12.9M
$268M-15.9%$318.8M+20.7%$264.2M+33.0%$198.6M
$88.9M+2.3%$86.9M+1.8%$85.4M+1.4%$84.2M
$29.4M+2.8%$28.6M+6.7%$26.8M+2.7%$26.1M
$5.8M+61.1%$3.6M+112%$1.7M+194%-$1.8M
$62.7M+18.8%$52.8M+23.1%$42.9M+30.0%$33M+42.9%
$31.6M+69.0%$18.7M
$0-100%$250K-50.0%$500K-33.3%$750K-25.0%
$873.23M-30.8%
$6.9M-49.6%$13.7M+2,183%$600K-95.3%$12.9M
$302.4M-15.6%$358.4M-13.3%$413.4M-1.3%$418.7M
$302.4M-15.6%$358.4M-13.3%$413.4M-1.3%$418.7M

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does Ralliant Corporation generate?
Ralliant Corporation (RAL) generated $344.7M in operating cash flow over the trailing twelve months.
What is Ralliant Corporation's free cash flow?
After $42.3M of capital expenditures, Ralliant Corporation's free cash flow was $302.4M over the trailing twelve months, down 33.3% year over year.
Where does Ralliant Corporation's cash flow data come from?
Every line is extracted from Ralliant Corporation'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.