The latest data point for Q4'26 shows Operating Cash Flow reaching $498M USD, marking a significant quarterly increase from $398M in Q3'26, while Free Cash Flow surged to $378M USD, up from $297M in the prior quarter, reflecting robust cash generation at the end of the period from Q1'24 to Q4'26. Over the timeframe from Q1'24 to Q4'26, Operating Cash Flow exhibited an overall upward trend with periodic fluctuations, starting at $301M and climbing steadily to peak at $498M, highlighted by strong growth in Q4'24 ($347M) and Q4'26 amid minor dips in Q2'25 ($327M) and Q2'26 ($333M). Free Cash Flow followed a similar positive trajectory, rising from $228M initially to $378M, with notable accelerations in Q1'25 ($323M) and Q4'26, though it experienced volatility such as a decline to $231M in Q3'25 before recovering. This bar chart illustrates CRWD's improving cash efficiency, with both metrics demonstrating resilience and expansion in later quarters.