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Transcat TRNS Cash Flow Statement

FY'26FY'25FY'24FY'23
$5.38M-63.0%$14.52M+6.4%$13.65M+27.7%$10.69M-6.1%
$26.17M+41.0%$18.57M+37.1%$13.54M+23.6%$10.96M+14.5%
$7.55M+132%$3.25M-28.0%$4.51M+33.6%$3.38M+45.0%
$840K-$1.6M-749%-$188K
$0
-$53K+39.8%-$88K
-$4.61M
$965K-80.5%$4.94M
$2.21M$299K+127%-$1.12M
$0$0+100%
$6.02M+74.7%$3.45M+351%$765K
-$470K
$6.58M+409%$1.29M+2.6%$1.26M-75.9%$5.23M+54.1%
$34.85M-10.6%$38.99M+19.5%$32.62M+92.4%$16.95M-3.8%
$15.3M+15.9%$13.2M-0.6%$13.28M+41.1%$9.41M-7.3%
$87.53M+577%$12.93M+42.0%$9.11M-69.4%
-$97.82M-16.5%-$84M-102%-$41.67M-125%-$18.51M+53.5%
$482K-86.5%$3.57M-27.3%$4.91M
$88.09M+3,668%$2.34M+4.0%$2.25M+6.0%$2.12M+0.3%
$0-100%$45.41M+30.6%$34.77M+5,184%$658K-55.7%
$280K$0$0
$365K$0
$29.08M
$885K+242%
-$18.13M
$2.22M-71.7%$7.84M+153%$3.1M+178%$1.12M-71.4%
$0
$6.58M+409%$1.29M+2.6%$1.26M-75.9%$5.23M+54.1%
-$470K
$2.21M$299K+127%-$1.12M
$6.02M+74.7%$3.45M+351%$765K
$280K$0$0
$157.08M+129%$68.63M+18.2%$58.07M
$100.78M
-$470K
$842K-55.1%$1.87M-98.8%$152.28M
$1.1M$0$0
$741K+67.3%$443K+92.6%$230K
$0-100%$45.41M
$2.22M-71.7%$7.84M+153%$3.1M+178%$1.12M-71.4%
$19.55M-24.2%$25.79M+33.4%$19.34M+157%$7.54M+1.0%
$19.55M-24.2%$25.79M+33.4%$19.34M+157%$7.54M+1.0%

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Questions, answered.

How much cash does Transcat generate?
Transcat (TRNS) generated $34.9M in operating cash flow over the trailing twelve months.
What is Transcat's free cash flow?
After $15.3M of capital expenditures, Transcat's free cash flow was $19.6M over the trailing twelve months, down 24.2% year over year.
Where does Transcat's cash flow data come from?
Every line is extracted from Transcat'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.