Textron Cash Flow from Operating Activities 2010-2025 | TXT
Textron cash flow from operating activities for the twelve months ending June 30, 2025 was $1.721B, a 26.33% decline year-over-year.
- Textron annual cash flow from operating activities for 2024 was $1.014B, a 19.91% decline from 2023.
- Textron annual cash flow from operating activities for 2023 was $1.266B, a 14.92% decline from 2022.
- Textron annual cash flow from operating activities for 2022 was $1.488B, a 6.88% decline from 2021.