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Rush Enterprises RUSHA Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$61.68M-4.7%$64.69M-4.5%$67.74M-7.2%$72.99M+20.4%$60.62M-19.5%
$64.6M+0.2%$64.45M+0.9%$63.87M+1.3%$63.03M+2.5%$61.49M+1.4%
$14.54M+196%$4.91M+2.0%$4.81M-41.9%$8.29M-39.6%$13.71M+151%
$60.4M-46.5%$112.89M-69.3%$367.78M+61.6%$227.64M+48.3%$153.53M-60.9%
$66.03M-18.5%$81M-16.1%$96.55M-15.2%$113.87M+5.0%$108.41M-15.8%
$4.53M-31.1%$6.59M-46.4%$12.29M+66.3%$7.39M+52.3%$4.86M-49.9%
-$60.64M+30.2%-$86.89M+11.3%-$98M+27.8%-$135.72M-40.6%-$96.5M+30.9%
$15.34M+5.0%$14.6M-1.3%$14.8M+1.9%$14.52M+0.8%$14.41M+0.9%
$70.47M+857%$7.36M-91.6%$87.44M+195%$29.64M+399%
$14.61M-94.8%$278.74M+43.4%$194.37M-45.4%$355.91M+23.4%$288.45M+29.2%
$27.31M+149%-$55.41M+76.8%-$238.69M-117%-$109.83M-94.7%-$56.42M+73.0%
$27.08M+192%-$29.41M-195%$31.1M+274%-$17.92M-3,071%$603K-98.6%
-$5.63M-118%$31.89M-88.2%$271.23M+138%$113.77M+152%$45.12M-82.9%

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Questions, answered.

How much cash does Rush Enterprises generate?
Rush Enterprises (RUSHA) generated $768.7M in operating cash flow over the trailing twelve months.
What is Rush Enterprises's free cash flow?
After $357.5M of capital expenditures, Rush Enterprises's free cash flow was $411.3M over the trailing twelve months, down 11.7% year over year.
Where does Rush Enterprises's cash flow data come from?
Every line is extracted from Rush Enterprises'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.