Highlights and Quick Summary
- Operating Cash Flow for the quarter ending December 31, 2022 was $198 Million (a 48.91% increase compared to previous quarter)
- Year-over-year quarterly Operating Cash Flow decreased by -3459.32%
- Annual Operating Cash Flow for 2022 was $436 Million (a 21.95% increase from previous year)
- Annual Operating Cash Flow for 2021 was $358 Million (a -17.85% decrease from previous year)
- Annual Operating Cash Flow for 2020 was $435 Million (a 6.59% increase from previous year)
- Twelve month Operating Cash Flow ending December 31, 2022 was $436 Million (a 29.21% increase compared to previous quarter)
- Twelve month trailing Operating Cash Flow increased by 44.29% year-over-year
31 Dec '22 | 30 Sep '22 | 30 Jun '22 | 31 Mar '22 |
---|---|---|---|
$436 Million | $338 Million | $326 Million | $302 Million |
Historical Operating Cash Flow of Regal Rexnord Corporation
Most recent Operating Cash Flowof RRX including historical data for past 10 years.Interactive Chart of Operating Cash Flow of Regal Rexnord Corporation
Regal Rexnord Corporation Operating Cash Flow for the past 10 Years (both Annual and Quarterly)
(All values are in $ million)
Year | Q1 | Q2 | Q3 | Q4 | Fiscal Year |
---|---|---|---|---|---|
2022 | $198.2 | $133.1 | $110.8 | $-5.9 | $436.2 |
2021 | $99.6 | $121.5 | $87.1 | $49.5 | $357.7 |
2020 | $125.5 | $120.3 | $86.9 | $102.7 | $435.4 |
2019 | $137.3 | $140.6 | $112.3 | $18.3 | $408.5 |
2018 | $112.4 | $106.0 | $101.8 | $42.5 | $362.7 |
2017 | $56.9 | $86.1 | $98.4 | $50.5 | $291.9 |
2016 | $111.9 | $154.3 | $117.5 | $58.6 | $442.3 |
2015 | $117.1 | $131.5 | $118.2 | $17.5 | $384.3 |
2014 | $71.1 | $81.8 | $99.5 | $45.8 | $298.2 |
2013 | $66.5 | $81.2 | $91.3 | $66.0 | $305.0 |
2012 | $75.5 | $71.8 | $135.9 | $68.5 | $351.7 |