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Trex Company TREX Cash Flow Statement

FY'25FY'24FY'23FY'22
$190.42M-20.1%$238.45M+16.8%$204.12M+10.6%$184.63M-11.6%
$62.96M+15.2%$54.67M+8.9%$50.19M+13.3%$44.3M+23.2%
$9.12M-27.9%$12.64M+24.3%$10.16M+90.7%$5.33M-36.8%
$358.11M+135%$152.4M-60.9%$389.42M
$223.59M-3.8%$232.34M+39.9%$166.09M-5.8%$176.23M+10.6%
-$233.22M+1.4%-$236.54M-42.4%-$166.09M+1.7%-$168.88M-6.9%
$54.47M-48.6%$105.94M+474%$18.45M-95.4%$398.38M+383%
$880.55M+4.5%$842.3M+41.9%$593.5M
$949.65M+47.2%$645.2M-20.3%$810M
-$122.38M-$233.7M
-$667K-$135.17M-798%
$134.52M$223.33M

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Questions, answered.

Where does Trex Company's cash flow data come from?
Every line is extracted from Trex 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.