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SS&C Technologies SSNC Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$811.8M-0.6%$798.7M+4.9%$853.1M+20.5%$807.3M+15.3%$816.9M+27.6%
$714M+4.2%$703.8M+3.5%$696.9M+3.4%$692.8M+3.2%$685.4M+2.3%
$266.7M+26.5%$257.7M+26.8%$228.3M+20.2%$220.5M+22.6%$210.9M+29.6%
$1.77B+19.7%$1.74B+25.7%$1.59B+23.1%$1.47B+22.7%$1.48B+29.8%
$74.1M+8.5%$80.8M+31.6%$90M+56.3%$81.2M+68.5%$68.3M+31.6%
$1.05B+60.3%$1.05B+62.6%$6.5M-99.0%$652.4M+1,769%$652.6M+1,775%
-$1.31B-50.8%-$1.31B-52.8%-$282.7M+68.7%-$919.8M-286%-$868.4M-223%
$319.1M-25.1%$315.4M-25.7%$312.2M-26.0%$429M+7.1%$426.3M+11.7%
$997.1M+11.8%$1.04B+40.5%$1.09B+117%$934.8M+84.2%$891.5M+128%
$1.33B-76.1%$1.19B-78.6%$122M-97.8%$922M-81.4%$5.55B+2,165%
$755.1M-85.8%$765.1M-85.4%$740.1M-86.1%$717M-86.4%$5.34B+715%
-$1.46B-165%$203.3M-45.3%$1.15B+1.8%$1.01B-12.4%$2.23B+48.6%
$1.7B+20.3%$1.66B+25.4%$1.5B+21.5%$1.39B+20.8%$1.41B+29.7%

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Questions, answered.

How much cash does SS&C Technologies generate?
SS&C Technologies (SSNC) generated $1.8B in operating cash flow over the trailing twelve months.
What is SS&C Technologies's free cash flow?
After $74.1M of capital expenditures, SS&C Technologies's free cash flow was $1.7B over the trailing twelve months, up 20.3% year over year.
Where does SS&C Technologies's cash flow data come from?
Every line is extracted from SS&C Technologies'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.