ETN · 8-K · 20260731PR000027
Operating Cash Flow and Capex
Eaton Corp plc · 2026-07-31 · Importance 52 · Surprise 30
Second-quarter operating cash flow increased 23% year over year to $1.127 billion from $918 million. Capital expenditures for property, plant and equipment increased 25% to $253 million from $202 million. Free cash flow increased 22% to $874 million from $716 million after capital expenditures.
Key facts
- Free cash flow for the quarter was $874 million, up 22% over the same period in 2025. source
- Capital expenditures for property, plant and equipment for the three months ended June 30, 2026 were $253 million (used in free cash flow reconciliation). source
- Operating cash flow for the quarter was $1.1 billion. source