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Terex TEX Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$89M-241%$63M-3.1%$65M-9.7%$72M+243%$21M
$36M+414%$7M0.0%$7M-12.5%$8M-20.0%$10M+42.9%
$29M+126%-$112M-900%$14M-12.5%$16M-62.8%$43M+135%
$64M$82M-19.6%$102M+177%
$1M+109%-$11M-267%-$3M-400%$1M0.0%$1M+107%
$76M$102M-23.9%$134M+197%
-$31M-115%$205M+33.1%$154M+51.0%$102M+586%-$21M-112%
$0$0$0$0-100%
-$26M-$18M-80.0%-$10M+16.7%-$12M
-$467M-714%$76M+1,367%-$6M+50.0%-$12M+53.8%-$26M+98.7%
$19M+72.7%$11M-8.3%$12M+9.1%$11M0.0%$11M-8.3%
$0-100%$1M$0-100%$23M-28.1%$32M+113%
$235M+11,650%$2M-75.0%$8M-69.2%$26M-57.4%$61M-97.1%
$70M+483%$12M+50.0%$8M-65.2%$23M-62.3%$61M-29.9%
$0$0$0$0-100%
$122M+588%-$25M-78.6%-$14M+58.8%-$34M+32.0%-$50M-103%
-$4M-157%$7M+600%$1M-95.0%$20M+186%$7M+137%
-$380M-244%$263M+94.8%$135M+77.6%$76M+184%-$90M-350%
-$43M$0+100%
$77M+103%$38M-7.3%$41M+2.5%$40M+2.6%$39M+5.4%
$10.25M0.0%$10.25M0.0%$10.25M0.0%$10.25M
-$110M-$20M-1,100%$2M+200%-$2M0.0%
-$26M$0+100%-$18M-80.0%-$10M+16.7%-$12M-500%
-$467M-$2M
$26M-23.5%$34M+41.7%$24M0.0%$24M-33.3%$36M-26.5%
$0$0$0$0-100%
$235M+11,650%$2M-75.0%$8M-69.2%$26M-57.4%$61M-97.1%
-$24M-700%-$3M-50.0%-$2M+33.3%-$3M+57.1%-$7M-250%
$70M+483%$12M+50.0%$8M-65.2%$23M-62.3%$61M-29.9%
-$57M-133%$171M+31.5%$130M+66.7%$78M+237%-$57M-145%

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Questions, answered.

How much cash does Terex generate?
Terex (TEX) generated $430.0M in operating cash flow over the trailing twelve months.
What is Terex's free cash flow?
After $108.0M of capital expenditures, Terex's free cash flow was $322.0M over the trailing twelve months, up 60.2% year over year.
Where does Terex's cash flow data come from?
Every line is extracted from Terex'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.