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Textron TXT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$936M+1.4%$923M+11.5%$828M+1.5%$816M-1.8%$831M+0.7%
$405M+1.0%$401M+2.3%$392M-1.0%$396M+2.6%$386M+1.0%
$221M+42.6%$155M+64.9%$94M
$31M+115%
-$28M-129%
-$17M-30.8%-$13M+50.0%-$26M-4.0%
-$89M-97.8%-$45M+35.7%-$70M
-$30M+72.0%-$107M-153%$201M+287%$52M+13.0%$46M-52.1%
$1.32B+0.5%$1.31B+24.0%$1.06B+15.4%$917M+2.2%$897M-11.5%
$460M+20.1%$383M+5.5%$363M+1.4%$358M+1.1%$354M-2.7%
-$15M
-$310M-49.8%-$207M-47.9%-$140M+10.3%-$156M+29.7%-$222M+21.8%
$18M0.0%$18M+20.0%$15M+36.4%$11M0.0%$11M-8.3%
$775M-5.7%$822M-5.2%$867M-1.0%$876M-14.1%$1.02B-9.1%
$495M
$439M-39.0%$720M+95.1%$369M+0.5%$367M0.0%$367M-2.7%
$90M+125%$40M+37.9%$29M+16.0%$25M-19.4%$31M-64.8%
-$21M+8.7%-$23M+25.8%
-$658M-21.2%-$543M+27.3%-$747M+1.1%-$755M+15.6%-$895M+38.4%
$16M-33.3%$24M+300%$6M-64.7%$17M+1,800%-$1M+93.8%
$365M-37.5%$584M
$1M-90.9%$11M-47.6%$21M-32.3%$31M-24.4%
$35M
$31M+115%
-$233M-0.4%-$232M-0.9%-$230M0.0%-$230M-0.9%-$228M-1.3%
-$135M-0.7%-$134M-16.5%-$115M-0.9%-$114M-3.6%-$110M-7.8%
$67M+15.5%$58M+34.9%$43M+79.2%$24M+140%$10M-52.4%
$40M-4.8%$42M+75.0%$24M
-$15M
-$21M+8.7%-$23M+25.8%
$439M-39.0%$720M+95.1%$369M+0.5%$367M0.0%$367M-2.7%
$859M-7.5%$929M+33.7%$695M+24.3%$559M+2.9%$543M-16.5%
$859M-7.5%$929M+33.7%$695M+24.3%$559M+2.9%$543M-16.5%

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Questions, answered.

How much cash does Textron generate?
Textron (TXT) generated $1.3B in operating cash flow over the trailing twelve months.
What is Textron's free cash flow?
After $460.0M of capital expenditures, Textron's free cash flow was $859.0M over the trailing twelve months, up 58.2% year over year.
Where does Textron's cash flow data come from?
Every line is extracted from Textron'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.