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Rush Enterprises RUSHA Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$267.1M-9.2%$266.04M-12.8%$276.62M-10.1%$288.3M-6.7%$294.1M-10.5%
$255.95M+6.3%$252.84M+7.1%$249.03M+7.6%$246.31M+8.6%$240.76M+7.4%
$32.55M+8.6%$31.73M+4.5%$32.27M+7.7%$32.75M+5.9%$29.97M-4.4%
$768.71M-17.2%$861.84M+39.1%$1.14B+266%$885.19M+198%$928.13M+1,826%
$357.45M-22.7%$399.83M-7.7%$447.64M+16.6%$482.8M+35.8%$462.32M+29.3%
$30.8M+27.7%$31.12M-0.9%$34.24M+37.5%$24.21M-27.5%$24.13M-38.6%
-$381.25M+19.4%-$417.11M+6.4%-$469.97M-16.9%-$516.67M-43.8%-$472.89M-31.1%
$59.26M+5.7%$58.33M+5.1%$58.01M+6.0%$57.21M+5.2%$56.05M+7.0%
$194.92M+1,138%$130.38M+13.8%$123.29M-21.7%$39.76M-79.4%
$843.63M-41.2%$1.12B-39.4%$1.06B-48.3%$1.3B-33.5%$1.43B-23.3%
-$376.62M+1.5%-$460.36M-256%-$614.19M-840%-$324.76M-967%-$382.19M-258%
$10.85M-85.1%-$15.63M-135%$57.07M+923%$43.76M+277%$73.05M+204%
$411.26M-11.7%$462.01M+148%$693.58M+1,001%$402.39M+738%$465.81M+248%

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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.