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Target Hospitality TH Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$43.58M-17.5%-$37.08M-287%-$9.59M-185%$11.26M-74.7%$44.57M-37.6%
$61.86M+3.3%$59.91M+3.7%$57.77M+0.9%$57.26M-1.8%$58.31M-1.7%
$7.49M-0.8%$7.55M+2.7%$7.36M+4.7%$7.03M+12.0%$6.27M-14.1%
-$7.9M-10.1%-$7.18M+13.9%-$8.33M+14.5%-$9.75M-119%-$4.46M-17.2%
$675K-8.3%$736K-14.2%$858K-12.6%$982K-11.0%$1.1M+0.5%
$253K-21.4%
-$10.63M-241%$7.51M
$5.81M-74.9%$23.15M
$28.21M+62.7%$17.34M+26.2%$13.73M+150%$5.49M+245%-$3.78M+16.7%
$13.54M0.0%$13.54M0.0%$13.54M0.0%$13.54M0.0%$13.54M0.0%
-$2.37M
-$10.34M-6.0%-$9.76M-5.5%-$9.25M-8.4%-$8.53M+1.2%-$8.64M+10.3%
$1.77M+1.3%
$77.19M+4.2%$74.09M-25.1%$98.91M+28.5%$76.98M-26.7%$105.02M-30.8%
$312K-58.5%$751K-29.3%$1.06M-1.3%$1.08M-7.8%$1.17M+69.9%
-$89.94M-32.7%-$67.79M-45.5%-$46.59M-23.9%-$37.62M-1.3%-$37.13M-28.7%
$249K-4.2%$260K+31.1%$198.25K+25.1%$158.5K+35.8%$116.75K+79.6%
-$16.27M+91.4%-$188.64M+5.5%-$199.67M-14.5%-$174.42M-10.6%-$157.71M-337%
-$3K+87.0%-$23K+23.3%
-$40.16M+79.2%-$193.47M-22.1%-$158.51M-17.4%-$135.06M-50.3%-$89.83M-204%
$12.98M-8.8%$14.23M-8.1%$15.48M-7.5%$16.73M-6.9%
$2.82M-69.7%$9.31M-41.1%$15.79M-29.1%$22.28M-22.6%
$1.77M+1.3%
$675K-8.3%$736K-14.2%$858K-12.6%$982K-11.0%$1.1M+0.5%
$13.54M0.0%$13.54M0.0%$13.54M0.0%$13.54M0.0%$13.54M0.0%
-$135K-2.3%-$132K-1.5%-$130K-2.4%-$127K-1.6%-$125K+10.1%
$61.86M+3.3%$59.91M+3.7%$57.77M+0.9%$57.26M-1.8%$58.31M-1.7%
$253K-21.4%
$28.21M+62.7%$17.34M+26.2%$13.73M+150%$5.49M+245%-$3.78M+16.7%
-$10.34M-6.0%-$9.76M-5.5%-$9.25M-8.4%-$8.53M+1.2%-$8.64M+10.3%
$77K+83.3%$42K
$766K+9.0%$703K+11.4%$631K+146%$257K+3.2%$249K-9.5%
$312K-58.5%$751K-29.3%$1.06M-1.3%$1.08M-7.8%$1.17M+69.9%
$83.04M+23.9%$67.04M+44.5%$46.39M+22.4%$37.9M+1.5%$37.32M+26.3%
$2.35M+0.1%$2.34M+2.9%$2.28M+10.9%$2.06M+14.4%$1.8M+6.0%
$59.5M-20.7%$75M
$6.63M-37.1%$10.53M-27.0%$14.43M-21.3%$18.33M-17.5%
$2.82M-69.7%$9.31M-41.1%$15.79M-29.1%$22.28M-22.6%
$15.88M+16.2%$13.67M+19.3%$11.46M+23.9%$9.25M+31.4%
$76.88M+4.8%$73.34M-25.0%$97.85M+28.9%$75.9M-26.9%$103.86M-31.2%
$76.88M+4.8%$73.34M-25.0%$97.85M+28.9%$75.9M-26.9%$103.86M-31.2%

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Questions, answered.

How much cash does Target Hospitality generate?
Target Hospitality (TH) generated $77.2M in operating cash flow over the trailing twelve months.
What is Target Hospitality's free cash flow?
After $312.0K of capital expenditures, Target Hospitality's free cash flow was $76.9M over the trailing twelve months, down 26.0% year over year.
Where does Target Hospitality's cash flow data come from?
Every line is extracted from Target Hospitality'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.