THE CLOROX COMPANY β Cash Flow Charts
72 quarters of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ+72.8% +$131M
$311M
Free Cash Flowβ+111.8% +$142M
$269M
Investing Cash Flowβ-138.2% -$123M
$-34M
Financing Cash Flowβ+75.1% +$178M
$-59M
Capexβ-20.8% -$11M
$42M
Acquisitions
$0
Stock Buybacksβ-15.3% -$23M
$127M
Dividends Paidβ+0.0% +$0
$151M
Stock-Based Compβ-11.1% -$3M
$24M
Debt Issued
$0
Debt Repaid
$0
D&Aβ+3.8% +$2M
$55M