Golden Minerals Co (AUMN) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$27.84M2011: -$66.60M2012: -$36.64M2013: -$27.88M2014: -$18.46M2015: -$9.94M2016: -$6.21M2018: -$5.71M2019: -$4.39M2020: -$9.48M2021: $1.41M2022: -$9.66M2023: -$6.11M2024: -$4.25M-$4.25M
2010Operating Cash Flow (USD)2024
Fiscal YearOperating Cash FlowChange YoY
2024-$4.25M+30.5%
2023-$6.11M+36.7%
2022-$9.66M-783.0%
2021$1.41M+114.9%
2020-$9.48M-115.8%
2019-$4.39M+23.0%
2018-$5.71M
2016-$6.21M+37.5%
2015-$9.94M+46.2%
2014-$18.46M+33.8%
2013-$27.88M+23.9%
2012-$36.64M+45.0%
2011-$66.60M-139.2%
2010-$27.84M