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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$150.1M+21.9%$0-100%-$2.94B-1,384%$424.3M-0.2%$123.1M-41.4%
$185.7M+3.0%$181.1M-26.8%$179.8M+2.5%$170.1M+1.4%$180.3M+6.7%
$8.2M-31.1%$7.8M-8.2%$8.3M-20.2%$7M-38.6%$11.9M-7.0%
$1.4M+7.7%$1.3M+8.3%$1.2M-14.3%$1.3M-7.1%$1.3M0.0%
-$16.3M-18.3%-$16.3M-18.3%-$16.3M-18.3%-$16.3M-18.3%
-$71.35M-21.8%-$71.35M-21.8%-$71.35M-21.8%-$71.35M-21.8%
$800K+131%-$2.6M
$3.2M-28.9%$1.9M-69.8%$3M+475%$4M+311%$4.5M+600%
-$12.08M-22.0%-$12.08M-22.0%-$12.08M-22.0%-$12.08M-22.0%
$2.5M+103%$540.7M+9.3%$616.1M+18.2%$718.3M-17.4%-$90.7M-457%
$231.7M-2.4%$182.9M+64.6%$133.1M-22.1%$163.3M-8.0%$237.3M+10.5%
$0-100%$1.5M$20.8M
$1.1M-52.2%$9.7M+1.0%$1.7M-63.0%$2.1M-75.6%$2.3M+35.3%
-$500K-101%$13.8M$2.5M+114%$0$85.5M+17,200%
-$230.1M+32.6%-$187M-58.9%-$135.4M+9.1%-$158.4M+6.2%-$341.3M-60.6%
$93.6M-5.6%$90.6M+0.9%$93M+2.2%$93.5M+2.1%$99.2M+2.5%
$168.5M+183%$315.1M+53.0%$26M-58.1%$247.2M-5.5%$59.6M-47.5%
$26.7M+761%$3.2M-33.3%$3.8M-99.6%$2.7M+50.0%$3.1M+93.8%
$6.6M-78.5%-$1.3M+98.6%-$17.6M-935%-$31.6M-365%$30.7M+831%
-$282.2M-115%-$410.2M-4.2%-$140.4M+86.4%-$375M-175%-$131.2M+39.3%
-$4.1M-162%$2.8M+108%$16.2M+223%$6.6M+192%
-$513.9M+7.7%-$53.7M-$556.6M-35.6%
$73.4M-1.1%$28.8M-1.0%$74.7M-11.5%$63M+118%$74.2M+0.8%
$16.8M+61.5%$31.8M-71.2%$41.6M+262%$47.6M-50.4%$10.4M+11.8%
$1.4M+7.7%$1.3M+8.3%$1.2M-14.3%$1.3M-7.1%$1.3M0.0%
-$84.45M-198%-$84.45M-198%-$84.45M-198%-$84.45M-198%
$44.6M+34.3%-$558.6M-644%$130.6M-3.0%$33.2M-40.2%
$3.8M+18.8%$3.8M+22.6%$3.2M
$3.2M-28.9%$1.9M-69.8%$3M+475%$4M+311%$4.5M+600%
-$71.35M-21.8%-$71.35M-21.8%-$71.35M-21.8%-$71.35M-21.8%
$2.4M+129%$273.5M+526%-$8.2M-41.4%
$78M+70.3%$31.6M$45.8M
-$500K-101%$13.8M$2.5M+114%$0$85.5M+17,200%
$1.1M-52.2%$9.7M+1.0%$1.7M-63.0%$2.1M-75.6%$2.3M+35.3%
$6.6M-78.5%-$1.3M+98.6%-$17.6M-935%-$31.6M-365%$30.7M+831%
$26.7M+761%$3.2M-33.3%$3.8M-99.6%$2.7M+50.0%$3.1M+93.8%
$58.8M-2.0%$61M-0.3%$61.5M+3.9%$60.3M+6.9%$60M+10.9%
$16.8M+61.5%$31.8M-71.2%$41.6M+262%$47.6M-50.4%$10.4M+11.8%
-$229.2M+30.1%$357.8M-6.7%$483M+37.8%$555M-19.8%-$328M-73.3%
-$229.2M+30.1%$357.8M-6.7%$483M+37.8%$555M-19.8%-$328M-73.3%

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Questions, answered.

How much cash does Molson Coors Beverage Company generate?
Molson Coors Beverage Company (TAP) generated $1.9B in operating cash flow over the trailing twelve months.
What is Molson Coors Beverage Company's free cash flow?
After $711.0M of capital expenditures, Molson Coors Beverage Company's free cash flow was $1.2B over the trailing twelve months, up 6.3% year over year.
Where does Molson Coors Beverage Company's cash flow data come from?
Every line is extracted from Molson Coors Beverage Company'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.