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United Rentals (URI)

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  • 771.930
  • +4.570+0.60%
Close Apr 10 16:00 ET
  • 771.930
  • 0.0000.00%
Post 20:01 ET
48.54BMarket Cap19.99P/E (TTM)

United Rentals (URI) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
14.17%5.19B
19.85%1.26B
-1.91%1.18B
4.98%1.33B
38.48%1.43B
-3.36%4.55B
-25.88%1.05B
13.37%1.2B
-1.86%1.27B
9.58%1.03B
Net income from continuing operations
-3.15%2.49B
-5.22%653M
-0.99%701M
-2.20%622M
-4.43%518M
6.23%2.58B
1.47%689M
0.71%708M
7.61%636M
20.18%542M
Operating gains losses
12.12%-638M
14.83%-178M
0.00%-150M
14.61%-152M
16.40%-158M
10.04%-726M
6.70%-209M
19.79%-150M
11.88%-178M
2.58%-189M
Depreciation and amortization
7.06%3.11B
5.64%805M
7.45%793M
5.86%759M
9.48%751M
4.39%2.9B
9.33%762M
6.19%738M
3.02%717M
-1.01%686M
Deferred tax
2,231.58%405M
1,116.67%146M
29,600.00%297M
-46.67%-22M
5.88%-16M
-154.29%-19M
122.64%12M
-97.14%1M
-183.33%-15M
-148.57%-17M
Other non cash items
-3.03%-34M
-11.11%-10M
-11.11%-10M
-14.29%-8M
25.00%-6M
-925.00%-33M
-800.00%-9M
-350.00%-9M
-163.64%-7M
-100.00%-8M
Change In working capital
-4.89%-279M
16.52%-192M
-346.30%-482M
11.76%95M
2,407.69%300M
-253.76%-266M
-178.23%-230M
47.32%-108M
-43.33%85M
80.30%-13M
-Change in receivables
-500.00%-120M
183.87%88M
-82.05%-213M
-78.13%-57M
-36.73%62M
88.02%-20M
-64.37%31M
15.83%-117M
68.63%-32M
853.85%98M
-Change in inventory
-353.33%-38M
-150.00%-5M
-33.33%8M
-250.00%-14M
-800.00%-27M
-21.05%15M
433.33%10M
-29.41%12M
-157.14%-4M
-50.00%-3M
-Change in prepaid assets
-400.00%-135M
294.12%67M
-291.30%-88M
-72.38%-181M
346.67%67M
-109.61%-27M
-82.65%17M
-6.12%46M
-1,266.67%-105M
-88.00%15M
-Change in payables and accrued expense
105.98%14M
-18.75%-342M
-285.71%-189M
53.54%347M
260.98%198M
-685.00%-234M
-357.14%-288M
62.88%-49M
-4.24%226M
30.11%-123M
Cash from discontinued investing activities
Operating cash flow
14.17%5.19B
19.85%1.26B
-1.91%1.18B
4.98%1.33B
38.48%1.43B
-3.36%4.55B
-25.88%1.05B
13.37%1.2B
-1.86%1.27B
9.58%1.03B
Investing cash flow
Cash flow from continuing investing activities
18.78%-3.37B
-17.09%-603M
-2.31%-1.19B
-2.11%-1.21B
71.80%-361M
-39.38%-4.15B
-17.85%-515M
-64.14%-1.17B
-11.05%-1.19B
-68.42%-1.28B
Net PPE purchase and sale
-20.48%-3.06B
-31.31%-281M
-11.94%-1.2B
-13.33%-1.22B
-104.62%-354M
-4.23%-2.54B
21.61%-214M
-46.05%-1.07B
-12.62%-1.08B
63.19%-173M
Net business purchase and sale
78.43%-357M
-7.03%-335M
94.44%-6M
100.86%1M
98.48%-17M
-188.33%-1.66B
-86.31%-313M
-1,000.00%-108M
2.52%-116M
-273.91%-1.12B
Net investment purchase and sale
40.00%-3M
0.00%-1M
0.00%-1M
--0
50.00%-1M
-25.00%-5M
75.00%-1M
---1M
---1M
---2M
Net other investing changes
-1.96%50M
7.69%14M
-7.14%13M
9.09%12M
-15.38%11M
34.21%51M
62.50%13M
27.27%14M
10.00%11M
44.44%13M
Cash from discontinued investing activities
Investing cash flow
18.78%-3.37B
-17.09%-603M
-2.31%-1.19B
-2.11%-1.21B
71.80%-361M
-39.38%-4.15B
-17.85%-515M
-64.14%-1.17B
-11.05%-1.19B
-68.42%-1.28B
Financing cash flow
Cash flow from continuing financing activities
-571.90%-1.84B
-34.85%-712M
57.58%-14M
-252.63%-134M
-401.85%-981M
81.41%-274M
41.72%-528M
88.62%-33M
58.70%-38M
274.73%325M
Net issuance payments of debt
-62.64%653M
382.35%48M
61.42%728M
-7.37%415M
-162.12%-538M
87,300.00%1.75B
96.86%-17M
627.42%451M
71.65%448M
293.64%866M
Net common stock issuance
-25.33%-1.97B
-56.58%-631M
-63.93%-618M
-14.63%-431M
30.36%-289M
-46.82%-1.57B
-52.65%-403M
-49.60%-377M
-49.80%-376M
-36.96%-415M
Cash dividends paid
-6.91%-464M
-5.56%-114M
-7.48%-115M
-7.34%-117M
-7.27%-118M
-6.90%-434M
-6.93%-108M
-7.00%-107M
-6.86%-109M
-6.80%-110M
Net other financing activities
-258.82%-61M
---15M
---9M
0.00%-1M
-125.00%-36M
---17M
--0
--0
---1M
---16M
Cash from discontinued financing activities
Financing cash flow
-571.90%-1.84B
-34.85%-712M
57.58%-14M
-252.63%-134M
-401.85%-981M
81.41%-274M
41.72%-528M
88.62%-33M
58.70%-38M
274.73%325M
Net cash flow
Beginning cash position
25.90%457M
6.89%512M
17.34%548M
26.34%542M
25.90%457M
242.45%363M
68.66%479M
105.73%467M
333.33%429M
242.45%363M
Current changes in cash
-116.13%-20M
-1,280.00%-59M
-775.00%-27M
-141.46%-17M
12.16%83M
-51.18%124M
-92.96%5M
-93.44%4M
-68.22%41M
1,157.14%74M
Effect of exchange rate changes
173.33%22M
122.22%6M
-212.50%-9M
866.67%23M
125.00%2M
-1,100.00%-30M
-437.50%-27M
300.00%8M
-200.00%-3M
---8M
End cash Position
0.44%459M
0.44%459M
6.89%512M
17.34%548M
26.34%542M
25.90%457M
25.90%457M
68.66%479M
105.73%467M
333.33%429M
Free cash flow
58.00%662M
58.08%577M
-74.64%-365M
-16.75%-230M
47.83%680M
-33.91%419M
-47.02%365M
-273.21%-209M
-189.71%-197M
566.67%460M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 14.17%5.19B19.85%1.26B-1.91%1.18B4.98%1.33B38.48%1.43B-3.36%4.55B-25.88%1.05B13.37%1.2B-1.86%1.27B9.58%1.03B
Net income from continuing operations -3.15%2.49B-5.22%653M-0.99%701M-2.20%622M-4.43%518M6.23%2.58B1.47%689M0.71%708M7.61%636M20.18%542M
Operating gains losses 12.12%-638M14.83%-178M0.00%-150M14.61%-152M16.40%-158M10.04%-726M6.70%-209M19.79%-150M11.88%-178M2.58%-189M
Depreciation and amortization 7.06%3.11B5.64%805M7.45%793M5.86%759M9.48%751M4.39%2.9B9.33%762M6.19%738M3.02%717M-1.01%686M
Deferred tax 2,231.58%405M1,116.67%146M29,600.00%297M-46.67%-22M5.88%-16M-154.29%-19M122.64%12M-97.14%1M-183.33%-15M-148.57%-17M
Other non cash items -3.03%-34M-11.11%-10M-11.11%-10M-14.29%-8M25.00%-6M-925.00%-33M-800.00%-9M-350.00%-9M-163.64%-7M-100.00%-8M
Change In working capital -4.89%-279M16.52%-192M-346.30%-482M11.76%95M2,407.69%300M-253.76%-266M-178.23%-230M47.32%-108M-43.33%85M80.30%-13M
-Change in receivables -500.00%-120M183.87%88M-82.05%-213M-78.13%-57M-36.73%62M88.02%-20M-64.37%31M15.83%-117M68.63%-32M853.85%98M
-Change in inventory -353.33%-38M-150.00%-5M-33.33%8M-250.00%-14M-800.00%-27M-21.05%15M433.33%10M-29.41%12M-157.14%-4M-50.00%-3M
-Change in prepaid assets -400.00%-135M294.12%67M-291.30%-88M-72.38%-181M346.67%67M-109.61%-27M-82.65%17M-6.12%46M-1,266.67%-105M-88.00%15M
-Change in payables and accrued expense 105.98%14M-18.75%-342M-285.71%-189M53.54%347M260.98%198M-685.00%-234M-357.14%-288M62.88%-49M-4.24%226M30.11%-123M
Cash from discontinued investing activities
Operating cash flow 14.17%5.19B19.85%1.26B-1.91%1.18B4.98%1.33B38.48%1.43B-3.36%4.55B-25.88%1.05B13.37%1.2B-1.86%1.27B9.58%1.03B
Investing cash flow
Cash flow from continuing investing activities 18.78%-3.37B-17.09%-603M-2.31%-1.19B-2.11%-1.21B71.80%-361M-39.38%-4.15B-17.85%-515M-64.14%-1.17B-11.05%-1.19B-68.42%-1.28B
Net PPE purchase and sale -20.48%-3.06B-31.31%-281M-11.94%-1.2B-13.33%-1.22B-104.62%-354M-4.23%-2.54B21.61%-214M-46.05%-1.07B-12.62%-1.08B63.19%-173M
Net business purchase and sale 78.43%-357M-7.03%-335M94.44%-6M100.86%1M98.48%-17M-188.33%-1.66B-86.31%-313M-1,000.00%-108M2.52%-116M-273.91%-1.12B
Net investment purchase and sale 40.00%-3M0.00%-1M0.00%-1M--050.00%-1M-25.00%-5M75.00%-1M---1M---1M---2M
Net other investing changes -1.96%50M7.69%14M-7.14%13M9.09%12M-15.38%11M34.21%51M62.50%13M27.27%14M10.00%11M44.44%13M
Cash from discontinued investing activities
Investing cash flow 18.78%-3.37B-17.09%-603M-2.31%-1.19B-2.11%-1.21B71.80%-361M-39.38%-4.15B-17.85%-515M-64.14%-1.17B-11.05%-1.19B-68.42%-1.28B
Financing cash flow
Cash flow from continuing financing activities -571.90%-1.84B-34.85%-712M57.58%-14M-252.63%-134M-401.85%-981M81.41%-274M41.72%-528M88.62%-33M58.70%-38M274.73%325M
Net issuance payments of debt -62.64%653M382.35%48M61.42%728M-7.37%415M-162.12%-538M87,300.00%1.75B96.86%-17M627.42%451M71.65%448M293.64%866M
Net common stock issuance -25.33%-1.97B-56.58%-631M-63.93%-618M-14.63%-431M30.36%-289M-46.82%-1.57B-52.65%-403M-49.60%-377M-49.80%-376M-36.96%-415M
Cash dividends paid -6.91%-464M-5.56%-114M-7.48%-115M-7.34%-117M-7.27%-118M-6.90%-434M-6.93%-108M-7.00%-107M-6.86%-109M-6.80%-110M
Net other financing activities -258.82%-61M---15M---9M0.00%-1M-125.00%-36M---17M--0--0---1M---16M
Cash from discontinued financing activities
Financing cash flow -571.90%-1.84B-34.85%-712M57.58%-14M-252.63%-134M-401.85%-981M81.41%-274M41.72%-528M88.62%-33M58.70%-38M274.73%325M
Net cash flow
Beginning cash position 25.90%457M6.89%512M17.34%548M26.34%542M25.90%457M242.45%363M68.66%479M105.73%467M333.33%429M242.45%363M
Current changes in cash -116.13%-20M-1,280.00%-59M-775.00%-27M-141.46%-17M12.16%83M-51.18%124M-92.96%5M-93.44%4M-68.22%41M1,157.14%74M
Effect of exchange rate changes 173.33%22M122.22%6M-212.50%-9M866.67%23M125.00%2M-1,100.00%-30M-437.50%-27M300.00%8M-200.00%-3M---8M
End cash Position 0.44%459M0.44%459M6.89%512M17.34%548M26.34%542M25.90%457M25.90%457M68.66%479M105.73%467M333.33%429M
Free cash flow 58.00%662M58.08%577M-74.64%-365M-16.75%-230M47.83%680M-33.91%419M-47.02%365M-273.21%-209M-189.71%-197M566.67%460M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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