Caro Holdings Inc. (CAHO) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2017: -$24.8K2018: -$23.0K2019: $792020: -$5002021: -$6352022: -$1.9K2023: -$174.5K2024: -$244.8K2025: -$373.8K2026: -$105.1K-$105.1K
2017Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026-$105.1K+71.9%
2025-$373.8K-52.7%
2024-$244.8K-40.3%
2023-$174.5K-8947.8%
2022-$1.9K-203.8%
2021-$635-27.0%
2020-$500-732.9%
2019$79+100.3%
2018-$23.0K+7.3%
2017-$24.8K