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Schneider National SNDR Cash Flow Statement

FY'25FY'24FY'23FY'22
$103.6M-11.5%$117M-50.9%$238.5M-47.9%$457.8M+12.9%
$450M+8.8%$413.7M+8.2%$382.5M+9.3%$350M+18.2%
$17.1M+35.7%$12.6M-20.3%$15.8M-4.2%$16.5M+14.6%
-$3.2M-182%$3.9M-93.0%$55.8M-32.8%$83M
$10.6M+203%$3.5M-88.0%$29.2M+684%-$5M
$8.8M-76.8%$38M
-$1.6M+30.4%-$2.3M$15.2M+245%
$2.3M-88.8%$20.5M
-$17.9M+74.8%-$71M
$637.4M-7.1%$686.1M+0.9%$680M-20.6%$856.4M+51.3%
$352M-15.0%$414M-37.3%$660.1M+23.4%$535.1M+34.0%
$95.6M-3.2%$98.8M-23.2%$128.6M+1.8%$126.3M-29.0%
$17.6M-27.3%$24.2M+365%
-$346.2M+56.3%-$791.5M+12.8%-$907.6M-51.6%-$598.8M+4.4%
$67M+0.6%$66.6M+4.7%$63.6M+14.2%$55.7M+12.3%
$29.5M-55.9%$66.9M
$300M+500%$50M
$151.4M+240%$44.5M-39.8%$73.9M+19.2%$62M+52.0%
-$207.3M-272%$120.6M-$116.7M-29.1%
$83.9M$140.9M+193%
$32M+124%$14.3M+40.2%$10.2M+9.7%$9.3M-19.8%
$67.6M+28.0%$52.8M-63.8%
$42.2M+721%
-$1.6M+30.4%-$2.3M$15.2M+245%
$17.6M-27.3%$24.2M+365%
$0
$32.8M-49.6%$65.1M+53.9%$42.3M-20.0%$52.9M+6.9%
$95.6M-3.2%$98.8M-23.2%$128.6M+1.8%$126.3M-29.0%
$1M
$151.4M+240%$44.5M-39.8%$73.9M+19.2%$62M+52.0%
$32M+124%$14.3M+40.2%$10.2M+9.7%$9.3M-19.8%
$69.8M+15.9%$60.2M-42.8%$105.2M-0.4%$105.6M+15.2%
$67.6M+28.0%$52.8M-63.8%
$285.4M+4.9%$272.1M+1,267%$19.9M-93.8%$321.3M+90.1%
$285.4M+4.9%$272.1M+1,267%$19.9M-93.8%$321.3M+90.1%

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Questions, answered.

How much cash does Schneider National generate?
Schneider National (SNDR) generated $638.6M in operating cash flow over the trailing twelve months.
What is Schneider National's free cash flow?
After $278.5M of capital expenditures, Schneider National's free cash flow was $360.1M over the trailing twelve months, up 30.9% year over year.
Where does Schneider National's cash flow data come from?
Every line is extracted from Schneider National'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.