Smart Powerr Corp. (CREG) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$14.30M2011: -$17.23M2012: $42.39M2013: -$70.28M2015: $63.91M2016: $39.51M2017: -$285.1K2018: $2.17M2019: -$14.65M2020: $82.25M2021: -$1.61M2022: -$351.9K2023: -$68.10M2024: -$10.76M2025: $66.91M$66.91M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$66.91M+721.6%
2024-$10.76M+84.2%
2023-$68.10M-19253.2%
2022-$351.9K+78.2%
2021-$1.61M-102.0%
2020$82.25M+661.5%
2019-$14.65M-775.6%
2018$2.17M+860.5%
2017-$285.1K-100.7%
2016$39.51M-38.2%
2015$63.91M
2013-$70.28M-265.8%
2012$42.39M+346.0%
2011-$17.23M-20.5%
2010-$14.30M