Weir Group Cash Flow from Operating Activities 2016-2025 | WEGRY

Weir Group annual/quarterly cash flow from operating activities history and growth rate from 2016 to 2025. Cash flow from operating activities can be defined as a company's cash flows from operations.
  • Weir Group cash flow from operating activities for the quarter ending December 31, 2025 was $0.508B, a 272.73% increase year-over-year.
  • Weir Group cash flow from operating activities for the twelve months ending December 31, 2025 was $1.728B, a 117.88% increase year-over-year.
  • Weir Group annual cash flow from operating activities for 2025 was $0.508B, a 11.6% decline from 2024.
  • Weir Group annual cash flow from operating activities for 2024 was $0.575B, a 17.22% increase from 2023.
  • Weir Group annual cash flow from operating activities for 2023 was $0.49B, a 23.61% increase from 2022.
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Weir Group Annual Cash Flow Ops
(Millions of US $)
2025 $508
2024 $575
2023 $490
2022 $397
2021 $215
2020 $351
2019 $336
2018 $291
2017 $165
2016 $293
2015 $474
Sector Industry Market Cap Revenue
Construction Engineering - Research & Development Services $11.012B $3.381B
The Weir Group PLC provides engineering solutions. The company's operating segment consists of Minerals, Oil & Gas and Flow Control. Oil & Gas segment provides products and service solutions to upstream, production, transportation, refining and related industries. Flow Control segment designs and manufactures valves and pumps. Minerals segment offers provision of slurry handling equipment and associated aftermarket support. It also provides specialist support services to the global power generation, industrial and oil and gas sectors. The Weir Group PLC is headquartered in Glasgow, the United Kingdom.
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