EVI INDUSTRIES, INC. (EVI) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: $869.0K2012: $38.1K2013: $3.66M2014: $6.16M2015: -$3.85M2016: $1.44M2017: $2.59M2018: $11.35M2019: -$8.72M2020: $23.07M2021: $13.69M2022: -$1.90M2023: $940.0K2024: $32.65M2025: $21.27M$21.27M
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$21.27M-34.9%
2024$32.65M+3373.6%
2023$940.0K+149.5%
2022-$1.90M-113.9%
2021$13.69M-40.6%
2020$23.07M+364.4%
2019-$8.72M-176.9%
2018$11.35M+338.0%
2017$2.59M+79.7%
2016$1.44M+137.4%
2015-$3.85M-162.5%
2014$6.16M+68.3%
2013$3.66M+9518.4%
2012$38.1K-95.6%
2011$869.0K