BOSTON OMAHA Corp (BOC) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: -$66.7K2012: -$99.3K2013: -$68.5K2014: -$49.9K2015: -$813.4K2016: -$1.48M2017: -$3.19M2018: $38.3K2019: $9.61M2020: $5.17M2021: $7.77M2022: -$5.17M2023: $16.06M2024: $21.24M2025: $17.86M$17.86M
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$17.86M-15.9%
2024$21.24M+32.3%
2023$16.06M+410.9%
2022-$5.17M-166.5%
2021$7.77M+50.1%
2020$5.17M-46.2%
2019$9.61M+24984.3%
2018$38.3K+101.2%
2017-$3.19M-115.0%
2016-$1.48M-82.2%
2015-$813.4K-1531.6%
2014-$49.9K+27.2%
2013-$68.5K+31.0%
2012-$99.3K-48.9%
2011-$66.7K