ALTISOURCE PORTFOLIO SOLUTIONS S.A. (ASPS) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $33.28M2010: $52.81M2011: $111.61M2014: $197.49M2015: $195.35M2016: $126.82M2017: $66.08M2018: $68.40M2019: $46.69M2020: -$22.40M2021: -$60.41M2022: -$44.89M2023: -$21.83M2024: -$5.03M2025: -$5.07M-$5.07M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$5.07M-0.8%
2024-$5.03M+77.0%
2023-$21.83M+51.4%
2022-$44.89M+25.7%
2021-$60.41M-169.7%
2020-$22.40M-148.0%
2019$46.69M-31.7%
2018$68.40M+3.5%
2017$66.08M-47.9%
2016$126.82M-35.1%
2015$195.35M-1.1%
2014$197.49M
2011$111.61M+111.3%
2010$52.81M+58.7%
2009$33.28M