As of Q4'26 (2026-01-31), CrowdStrike reported Operating Cash Flow of USD 498M and Free Cash Flow of USD 395M, both reaching their highest levels in the period covered. This marks a significant increase compared to the previous quarter, with Operating Cash Flow rising by over USD 100M and Free Cash Flow increasing by nearly USD 100M. From Q1'24 to Q4'26, both cash flow metrics show a generally upward trend, despite some quarterly fluctuations. Operating Cash Flow and Free Cash Flow experienced periods of moderate volatility, particularly in fiscal year '25, but both rebounded strongly in fiscal year '26, culminating in record highs in the latest quarter. This sustained growth in cash generation highlights improving operational efficiency and strong financial health for CrowdStrike over the observed period.