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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$135.87M-14.8%$159.47M+35.7%$117.52M-4.4%$122.92M-14.0%$142.93M-5.6%
$56.69M+0.9%$56.19M+1.8%$55.21M+2.0%$54.13M0.0%$54.13M-0.3%
$4.16M+3.8%$4.01M-0.6%$4.04M-29.8%$5.75M+49.6%$3.84M-25.0%
$333.79M+56.8%$212.94M-15.6%$252.28M+51.6%$166.43M-46.5%$311.15M+17.8%
$79.89M-36.5%$125.74M+23.7%$101.62M+22.4%$83.02M+6.2%$78.19M-26.4%
$24.09M-33.5%$36.19M-1.8%$36.86M+176%$13.37M-10.1%$14.87M-23.1%
-$132.34M+36.0%-$206.87M-37.7%-$150.18M-49.5%-$100.49M-10.7%-$90.74M+33.4%
$47.08M-1.1%$47.59M+6.1%$44.85M-0.6%$45.14M-1.9%$45.99M+5.8%
$143.15M+143%$58.92M-24.5%$78.07M-59.7%$193.57M+48.4%$130.45M+132%
$140M-65.5%$405.88M+154%$160.01M-48.4%$310M+67.6%$185M+60.9%
$140M$185M+68.2%$110M-43.6%$195M
-$184.91M-3,061%-$5.85M+95.4%-$125.85M-237%-$37.33M+81.9%-$205.69M-131%
$14.5M$34.28M+131%$14.84M
$253.9M+191%$87.2M-42.1%$150.66M+80.6%$83.42M-64.2%$232.96M+47.5%

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Questions, answered.

How much cash does Service Corporation International generate?
Service Corporation International (SCI) generated $965.4M in operating cash flow over the trailing twelve months.
What is Service Corporation International's free cash flow?
After $390.3M of capital expenditures, Service Corporation International's free cash flow was $575.2M over the trailing twelve months, down 13.3% year over year.
Where does Service Corporation International's cash flow data come from?
Every line is extracted from Service Corporation International'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.