CREDIT SUISSE AG (GLDI) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2017: -8.47B CHF2018: 12.53B CHF2019: -18.42B CHF2021: 36.89B CHF2022: 14.36B CHF2023: 32.01B CHF32.01B CHF
2017Operating Cash Flow (CHF)2023
Fiscal YearOperating Cash FlowChange YoY
202332.01B CHF+123.0%
202214.36B CHF-61.1%
202136.89B CHF
2019-18.42B CHF-246.9%
201812.53B CHF+248.0%
2017-8.47B CHF