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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$535.79M+1.0%$542.85M+4.6%$534.77M+5.7%$535.11M+4.9%$530.41M+1.2%
$222.21M+4.8%$219.65M+5.5%$217.74M+6.7%$214.61M+7.1%$212.12M+8.6%
$17.96M-4.0%$17.63M-6.1%$18.75M-0.9%$18.79M+1.7%$18.7M+13.4%
$965.44M-6.8%$942.8M-0.2%$993.98M+3.7%$1.01B+9.0%$1.04B+19.1%
$390.26M+4.7%$388.55M+4.0%$368.99M+2.1%$363.9M+2.3%$372.57M+2.6%
$110.51M-38.7%$101.29M-44.1%$84.44M-47.8%$170.99M+139%$180.27M+126%
-$589.88M+4.1%-$548.28M+11.7%-$477.77M+20.0%-$576.36M-16.6%-$614.89M-30.5%
$184.66M+4.7%$183.57M+5.3%$179.45M+3.6%$178.08M+2.7%$176.33M+3.3%
$473.72M+41.5%$461.02M+81.7%$458.32M+14.0%$401.34M-14.5%$334.72M-21.9%
$1.02B-33.2%$1.06B-26.9%$770.01M-50.5%$1.65B+143%$1.52B+129%
-$353.94M+9.6%-$374.73M-17.2%-$457.76M-30.9%-$347.5M+16.2%-$391.35M-11.2%
$575.19M-13.3%$554.25M-3.0%$624.99M+4.7%$641.6M+13.2%$663.37M+31.0%

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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.