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TransMedics Group, Inc. TMDX Cash Flow Statement

FY'25FY'24FY'23FY'22
$190.29M+437%$35.46M-$36.23M+18.1%
$27.19M+37.6%$19.76M+142%$8.18M+135%$3.48M+91.4%
$36.86M+10.9%$33.22M+67.9%$19.79M+91.8%$10.32M+50.1%
$192.84M+295%$48.8M-$45.82M-58.7%
$59.25M-54.3%$129.74M-14.6%$151.85M+1,175%$11.91M+238%
-$59.25M+54.2%-$129.3M+33.3%-$193.95M-439%$57.28M+95.7%
$445.38M+661%$58.51M
$16.86M-26.3%$22.87M-94.3%$400.42M+138%$167.93M+11,955%
$151.72M$178.88M
$133.59M-$164.88M-186%-$57.72M-78.3%

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Questions, answered.

How much cash does TransMedics Group, Inc. generate?
TransMedics Group, Inc. (TMDX) generated $220.2M in operating cash flow over the trailing twelve months.
What is TransMedics Group, Inc.'s free cash flow?
After $68.9M of capital expenditures, TransMedics Group, Inc.'s free cash flow was $151.4M over the trailing twelve months, up 199.3% year over year.
Where does TransMedics Group, Inc.'s cash flow data come from?
Every line is extracted from TransMedics Group, 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.