AMERICAS CARMART INC (CRMT) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: $8.12M2011: $16.86M2012: $11.70M2013: -$1.34M2014: $21.88M2015: $12.39M2016: $14.29M2017: $7.33M2018: $9.99M2019: $24.90M2020: $20.92M2021: -$53.81M2022: -$119.18M2023: -$135.73M2024: -$73.90M2025: -$48.76M2026: $64.96M$64.96M
2010Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$64.96M+233.2%
2025-$48.76M+34.0%
2024-$73.90M+45.6%
2023-$135.73M-13.9%
2022-$119.18M-121.5%
2021-$53.81M-357.3%
2020$20.92M-16.0%
2019$24.90M+149.2%
2018$9.99M+36.3%
2017$7.33M-48.7%
2016$14.29M+15.3%
2015$12.39M-43.4%
2014$21.88M+1737.4%
2013-$1.34M-111.4%
2012$11.70M-30.6%
2011$16.86M+107.8%
2010$8.12M