Trane (TT) operating cash flow was $3.2B in FY2025 (+2% YoY). The tables below show the complete quarterly and annual operating cash flow history, sourced from SEC EDGAR 10-K and 10-Q filings.
Annual Operating Cash Flow
Fiscal Year
Operating Cash Flow
YoY
2025
$3.2B
+2%
2024
$3.1B
+32%
2023
$2.4B
+59%
2022
$1.5B
-5%
2021
$1.6B
+11%
2020
$1.4B
-25%
2019
$1.9B
+36%
2018
$1.4B
-8%
2017
$1.5B
+0%
2016
$1.5B
+71%
2015
$888M
-9%
2014
$973M
-11%
2013
$1.1B
-9%
2012
$1.2B
-2%
2011
$1.2B
+62%
2010
$756M
-57%
2009
$1.8B
+317%
2008
$424M
-49%
2007
$826M
Recent Quarterly Operating Cash Flow
Quarter
Operating Cash Flow
Q2 2026
$1.1B
Q1 2026
$626M
Q4 2025
$1.2B
Q3 2025
$1.0B
Q2 2025
$692M
Q1 2025
$340M
Q4 2024
$900M
Q3 2024
$1.3B
Q2 2024
$696M
Q1 2024
$247M
Q4 2023
$935M
Q3 2023
$922M
Source: TT on EDGAR. Data from SEC EDGAR 10-K and 10-Q filings. Updated quarterly.