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TransUnion TRU Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$717.6M+86.4%$469.9M+55.4%$436M+80.8%$407.7M+381%$385M+317%
$588.2M+8.4%$574.8M+6.9%$564.5M+5.8%$552.5M+4.0%$542.7M+2.6%
$152.8M+19.9%$145.6M+20.1%$142.5M+26.1%$139.9M+31.7%$127.4M+24.5%
$1.02B+22.7%$987.6M+18.6%$922.1M+18.2%$827.1M+17.8%$831M+33.6%
$322.8M+0.3%$326M+3.2%$346.4M+16.9%$330.5M+11.0%$321.8M+5.0%
$55.7M
-$831.8M-151%-$331.7M-7.9%-$419.4M-47.9%-$404.6M-56.0%-$331.6M-19.4%
$92.9M+10.2%$90.5M+9.7%$89.3M+9.0%$86.4M+5.2%$84.3M+2.8%
$308.7M+5,617%$302M$152.6M$38.8M$5.4M
$520M-66.0%$0-100%$858.2M-46.0%$858.2M-46.0%$1.53B+66.2%
$78.5M-61.1%$78.5M-60.5%$118.8M-75.3%$142.7M-73.7%$202M-64.0%
-$53.1M+83.3%-$494.6M-60.2%-$390.1M-37.8%-$285.9M+14.6%-$318M+8.6%
$122.6M-30.5%$174.1M-14.4%$106.7M$144.3M$176.3M
$696.5M+36.8%$661.6M+28.0%$575.7M+18.9%$496.6M+22.9%$509.2M+61.4%

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Questions, answered.

How much cash does TransUnion generate?
TransUnion (TRU) generated $1.0B in operating cash flow over the trailing twelve months.
What is TransUnion's free cash flow?
After $322.8M of capital expenditures, TransUnion's free cash flow was $696.5M over the trailing twelve months, up 36.8% year over year.
Where does TransUnion's cash flow data come from?
Every line is extracted from TransUnion'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.