BIMINI CAPITAL MANAGEMENT, INC. (BMNM) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$799.9K2011: -$3.58M2012: -$3.23M2013: $4.01M2014: $9.87M2015: $595.8K2016: $3.69M2019: $3.7K2020: $1.30M2021: $5.53M2022: $5.48M2023: $1.70M2024: $3.19M2025: $2.88M$2.88M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$2.88M-9.7%
2024$3.19M+87.9%
2023$1.70M-69.0%
2022$5.48M-1.0%
2021$5.53M+326.0%
2020$1.30M+34613.7%
2019$3.7K
2016$3.69M+519.1%
2015$595.8K-94.0%
2014$9.87M+146.2%
2013$4.01M+224.3%
2012-$3.23M+10.0%
2011-$3.58M-347.9%
2010-$799.9K