CTO Realty Growth, Inc. (CTO-PA) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: -$228.0K2010: -$393.8K2011: -$2.20M2012: $3.50M2013: $10.89M2014: $11.33M2015: $25.19M2016: $14.29M2017: $57.55M2018: $47.82M2019: $16.41M2020: $16.93M2021: $27.58M2022: $56.10M2023: $46.31M2024: $59.87M2025: $64.60M$64.60M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$64.60M+7.9%
2024$59.87M+29.3%
2023$46.31M-17.4%
2022$56.10M+103.4%
2021$27.58M+62.9%
2020$16.93M+3.2%
2019$16.41M-65.7%
2018$47.82M-16.9%
2017$57.55M+302.7%
2016$14.29M-43.3%
2015$25.19M+122.4%
2014$11.33M+4.0%
2013$10.89M+210.8%
2012$3.50M+259.6%
2011-$2.20M-457.6%
2010-$393.8K-72.7%
2009-$228.0K