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Teradata TDC Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$335M+661%$37M+48.0%$40M+25.0%$9M-75.7%$44M+120%
$25M+25.0%$23M+4.5%$24M-4.0%$23M-11.5%$20M-25.9%
$29M+31.8%$30M+11.1%$29M0.0%$31M+6.9%$22M-35.3%
$36M+260%$7M+144%$20M$10M-16.7%
-$8M-60.0%-$8M-233%-$5M-267%
-$15M+50.0%-$12M-$24M+29.4%-$30M0.0%
$17M-41.4%$10M+143%$29M+625%
$71M+82.1%$5M$6M+114%$39M+750%
$71M-2.7%$16M+1,700%$73M+192%
$401M+4,913%$160M+2.6%$94M+22.1%$43M0.0%$8M-70.4%
$10M+900%$9M+28.6%$5M-37.5%$4M+33.3%$1M-83.3%
-$11M-1,000%-$9M0.0%-$6M+40.0%-$5M0.0%-$1M+87.5%
$34M-22.7%$38M+31.0%$30M+100%$28M-40.4%$44M-64.5%
$6M0.0%$6M0.0%$7M0.0%$6M0.0%$6M
$17M+6.3%$18M+5.9%$18M+5.9%$17M0.0%$16M-20.0%
-$5M-150%$5M-$2M+66.7%
-$62M+8.8%-$64M-23.1%-$50M-47.1%-$51M+27.1%-$68M+54.7%
-$6M-167%$14M+380%$9M+153%
$322M+719%$87M-$52M+64.9%
$6.5M-10.3%$6.5M-10.3%$6.5M-10.3%$6.5M-10.3%
$17.75M-5.3%$17.75M-5.3%$17.75M-5.3%$17.75M-5.3%
$1M$0-100%$1M$0$0
$17M+6.3%$18M+5.9%$18M+5.9%$17M0.0%$16M-20.0%
-$5M-150%$5M-$2M+66.7%
$1M0.0%$1M0.0%$1M
$17.75M-5.3%$17.75M-5.3%$17.75M-5.3%$17.75M-5.3%
$391M+5,486%$151M+1.3%$89M+29.0%$39M-2.5%$7M-66.7%
$391M+5,486%$151M+1.3%$89M+29.0%$39M-2.5%$7M-66.7%

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Questions, answered.

How much cash does Teradata generate?
Teradata (TDC) generated $698.0M in operating cash flow over the trailing twelve months.
What is Teradata's free cash flow?
After $28.0M of capital expenditures, Teradata's free cash flow was $670.0M over the trailing twelve months, up 152.8% year over year.
Where does Teradata's cash flow data come from?
Every line is extracted from Teradata'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.