ATN International, Inc. (ATNI) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: $132.60M2012: $187.47M2013: -$112.00M2014: $77.98M2015: $139.24M2016: $111.66M2017: $145.72M2018: $115.86M2019: $87.90M2020: $86.28M2021: $80.55M2022: $102.91M2023: $111.63M2024: $127.92M2025: $133.94M$133.94M
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$133.94M+4.7%
2024$127.92M+14.6%
2023$111.63M+8.5%
2022$102.91M+27.8%
2021$80.55M-6.6%
2020$86.28M-1.8%
2019$87.90M-24.1%
2018$115.86M-20.5%
2017$145.72M+30.5%
2016$111.66M-19.8%
2015$139.24M+78.6%
2014$77.98M+169.6%
2013-$112.00M-159.7%
2012$187.47M+41.4%
2011$132.60M