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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$370.9M+19.8%$309.73M-7.6%$335.22M+10.2%$304.28M+8.8%$279.75M+3.3%
$83.16M+7.8%$77.11M+6.5%$72.39M+3.7%$69.84M+1.0%$69.14M+1.1%
$25M+3.4%$24.18M+2.9%$23.49M+7.3%$21.9M+3.8%$21.1M+11.0%
$520.67M+18.3%$439.99M+2.8%$428.21M-13.8%$496.85M-6.7%$532.4M+7.1%
$79.02M+2.2%$77.31M+16.1%$66.57M+9.3%$60.91M-20.3%$76.45M-5.6%
$48.07M+328%
-$515.4M+6.6%-$551.92M+15.7%-$654.61M-216%-$206.95M+5.5%-$219.01M-17.8%
$42.63M-42.5%$74.2M+8.2%$68.55M-18.7%$84.3M-26.3%$114.44M+62.1%
$22.05M-11.3%$24.86M-10.2%$27.68M-9.2%$30.49M+15.2%$26.47M-0.3%
-$132.07M+18.2%-$161.54M-40.1%-$115.33M+11.6%-$130.52M+15.9%-$155.15M-30.8%
-$341.73M-314%$159.39M+0.7%$158.23M-17.9%
$441.66M+21.8%$362.68M+0.3%$361.64M-17.0%$435.95M-4.4%$455.95M+9.6%

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Questions, answered.

How much cash does Sterling Infrastructure, Inc. generate?
Sterling Infrastructure, Inc. (STRL) generated $520.7M in operating cash flow over the trailing twelve months.
What is Sterling Infrastructure, Inc.'s free cash flow?
After $79.0M of capital expenditures, Sterling Infrastructure, Inc.'s free cash flow was $441.7M over the trailing twelve months, down 3.1% year over year.
Where does Sterling Infrastructure, Inc.'s cash flow data come from?
Every line is extracted from Sterling Infrastructure, Inc.'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.