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Trane Technologies TT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$2.92B-0.7%$2.94B-0.5%$2.95B+2.5%$2.88B+4.3%$2.76B+6.5%
$378.3M+0.5%$376.3M-1.5%$382.2M-1.7%$388.9M+0.5%$387M+2.0%
$91.2M+5.3%$86.6M0.0%$86.6M-0.5%$87M+2.0%$85.3M+2.9%
$3.48B+9.0%$3.19B+8.8%$2.94B-9.2%$3.23B-0.1%$3.24B+2.9%
$343.8M-10.2%$383M-4.9%$402.8M-4.7%$422.7M+4.2%$405.7M+9.5%
$678.9M+146%$276M-0.3%$276.7M-38.6%$450.7M+1.1%$445.7M+147%
-$1.01B-57.9%-$640M
$858.9M+2.6%$837.3M+2.4%$817.8M+2.5%$798.1M+2.6%$777.9M+2.7%
$1.29B-12.8%$1.48B-7.7%$1.6B+4.5%$1.54B+5.3%$1.46B+13.8%
$559.1M+251%$159.1M-75.8%$657.3M0.0%$657.3M+29.5%$507.5M0.0%
-$2.32B+7.1%-$2.5B+19.2%-$3.09B-3.0%-$3B-27.2%-$2.36B-16.6%
$213.7M+23.4%$173.2M+150%-$344.2M-243%-$100.4M-1,047%$10.6M-97.9%
$3.14B+11.6%$2.81B+11.0%$2.53B-9.9%$2.81B-0.7%$2.83B+2.1%

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Questions, answered.

How much cash does Trane Technologies generate?
Trane Technologies (TT) generated $3.5B in operating cash flow over the trailing twelve months.
What is Trane Technologies's free cash flow?
After $343.8M of capital expenditures, Trane Technologies's free cash flow was $3.1B over the trailing twelve months, up 10.8% year over year.
Where does Trane Technologies's cash flow data come from?
Every line is extracted from Trane Technologies'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.