American Healthcare REIT, Inc. (AHR) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2016: -$3.62M2017: $12.40M2018: $15.42M2019: $117.45M2020: $219.16M2021: $17.91M2022: $147.77M2023: $98.53M2024: $176.09M2025: $294.44M$294.44M
2016Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$294.44M+67.2%
2024$176.09M+78.7%
2023$98.53M-33.3%
2022$147.77M+724.9%
2021$17.91M-91.8%
2020$219.16M+86.6%
2019$117.45M+661.6%
2018$15.42M+24.3%
2017$12.40M+442.6%
2016-$3.62M