TETRA TECH, INC. β Cash Flow Charts
67 quarters of history Β· ending 2025-12-28 Β· SEC EDGAR
Operating Cash Flowβ+453.2% +$59M
$72M
Free Cash Flowβ+607.3% +$58M
$68M
Investing Cash Flowβ+1191.2% +$41M
$37M
Financing Cash Flowβ-156.1% -$30M
$-11M
Capexβ+20.9% +$719K
$4M
Acquisitionsβ+321.0% +$70M
$92M
Stock Buybacksβ+100.0% +$25M
$50M
Dividends Paidβ+8.9% +$1M
$17M
Stock-Based Compβ+0.5% +$40K
$8M
Debt Repaidβ-44.4% -$72M
$90M
D&Aβ-12.9% -$2M
$14M