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Vertiv Holdings Co VRT Cash Flow Statement

FY'25FY'24FY'23FY'22
$1.33B+169%$495.8M+7.7%$460.2M+501%$76.6M-36.0%
$97.1M+19.0%$81.6M+9.8%$74.3M+3.2%$72M+4.2%
$45.9M+32.7%$34.6M+38.4%$25M+1.2%$24.7M+6.5%
-$59.3M+54.9%-$131.6M
$5.9M-15.7%$7M-11.4%$7.9M+5.3%$7.5M+19.0%
$588.5M+110%$280.3M$368M+213%
$164.7M-55.4%$369.3M$211.4M
$381.2M+11.1%$343.1M$145.2M+38.2%
$93.1M$91.5M
$62.7M+1,708%-$3.9M-109%$44.7M
$434.5M+58.5%$274.2M
-$73.8M-272%$42.8M
$211.5M+8.2%$195.4M-0.7%$196.7M-14.6%$230.4M+45.9%
$78.5M+21.7%$64.5M
$2.11B+60.2%$1.32B+46.5%$900.5M
$220M+31.7%$167M+30.6%$127.9M+27.9%$100M+36.2%
$5M
$0$0
$0$0-100%$11.9M$0
$539.6M$0
-$1.5B-644%-$201.7M-45.0%-$139.1M-24.1%-$112.1M+90.8%
$66.6M+57.8%$42.2M+344%$9.5M+150%$3.8M
$20.9M-0.9%$21.1M-22.1%$27.1M+65.2%$16.4M-24.8%
$26.4M-20.0%$33M+20.4%$27.4M$0
$11.2M-48.9%$21.9M+564%$3.3M
-$72.3M+88.9%-$652.1M-156%-$254.7M
$16.9M$1.5M
$443.6M-14.0%$516M
$126.7M-18.5%$155.5M-12.0%$176.7M+33.1%$132.8M+76.8%
$5.9M-15.7%$7M-11.4%$7.9M+5.3%$7.5M+19.0%
$211.5M+8.2%$195.4M-0.7%$196.7M-14.6%$230.4M+45.9%
$97.1M+19.0%$81.6M+9.8%$74.3M+3.2%$72M+4.2%
-$339.3M-197%-$114.1M$449.2M
$78.5M+21.7%$64.5M
$539.6M$0
$20.9M-0.9%$21.1M-22.1%$27.1M+65.2%$16.4M
$1.89B+64.3%$1.15B+49.1%$772.6M
$1.89B+64.3%$1.15B+49.1%$772.6M

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Questions, answered.

How much cash does Vertiv Holdings Co generate?
Vertiv Holdings Co (VRT) generated $2.6B in operating cash flow over the trailing twelve months.
What is Vertiv Holdings Co's free cash flow?
After $296.1M of capital expenditures, Vertiv Holdings Co's free cash flow was $2.3B over the trailing twelve months, up 73.2% year over year.
Where does Vertiv Holdings Co's cash flow data come from?
Every line is extracted from Vertiv Holdings Co'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.