Pool CorporationPOOLNASDAQ
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Cash Flow Under PressureContracting
Percentile Rank71
3Y CAGR-11.1%
5Y CAGR-3.8%
Studio
Year-over-Year Change

Operating cash flow minus capital expenditures

3Y CAGR
-11.1%/yr
vs +50.0%/yr prior
5Y CAGR
-3.8%/yr
Recent deceleration
Acceleration
-61.2pp
Decelerating
Percentile
P71
Within normal range
vs 5Y Ago
0.8x
Contraction
Streak
2 yr
Consecutive declineContracting
PeriodValueYoY Change
2025$309.52M-48.4%
2024$599.71M-27.6%
2023$828.13M+87.7%
2022$441.24M+60.0%
2021$275.83M-26.6%
2020$375.88M+41.6%
2019$265.41M+204.8%
2018$87.08M-35.9%
2017$135.92M+3.7%
2016$131.03M-