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Waters Corporation WAT Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$449.63M-30.0%$642.63M-1.0%$648.81M-1.9%$661.39M+0.7%$656.64M+2.9%
$102.14M+15.9%$88.14M-0.5%$88.55M+2.3%$86.57M-0.4%$86.89M-0.1%
$61.13M+12.9%$54.13M+5.4%$51.34M+6.2%$48.34M+3.3%$46.8M+4.7%
$389.56M-40.3%$652.56M-10.4%$728.14M-2.3%$745.41M-1.8%$759.25M-0.4%
$125.75M+11.5%$112.75M-10.4%$125.88M-0.1%$126.06M-9.8%$139.83M-1.9%
$179.05M+411%$35.05M0.0%$35.05M+0.2%$34.97M
-$31.25M+79.5%-$152.25M+5.6%-$161.3M+0.3%-$161.83M-16.1%-$139.35M+2.6%
$12.67M-13.6%$14.67M+0.5%$14.59M+0.5%$14.52M+0.4%$14.45M+6.7%
$3.82B+1,217%$290M-40.8%$490M-21.0%$620M-19.5%$770M-14.4%
-$280.54M-16.6%-$240.54M+44.6%-$434.12M+20.3%-$544.74M+5.7%-$577.5M+17.1%
$94.62M-66.0%$278.62M+92.5%$144.74M+174%$52.84M+25.9%$41.98M+157%
$263.81M-51.1%$539.81M-10.4%$602.27M-2.8%$619.36M0.0%$619.43M0.0%

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Questions, answered.

How much cash does Waters Corporation generate?
Waters Corporation (WAT) generated $389.6M in operating cash flow over the trailing twelve months.
What is Waters Corporation's free cash flow?
After $125.7M of capital expenditures, Waters Corporation's free cash flow was $263.8M over the trailing twelve months, down 57.4% year over year.
Where does Waters Corporation's cash flow data come from?
Every line is extracted from Waters Corporation'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.