Golden Star Resource Corp. (GLNS) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: -$20.0K2012: -$30.8K2013: -$22.9K2014: -$24.5K2015: -$48.5K2016: $492017: -$31.1K2018: -$30.0K2019: -$28.9K2020: -$26.8K2021: -$29.7K2022: -$43.0K2023: -$139.5K2024: -$37.6K2025: -$47.1K-$47.1K
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$47.1K-25.4%
2024-$37.6K+73.1%
2023-$139.5K-224.5%
2022-$43.0K-44.9%
2021-$29.7K-10.8%
2020-$26.8K+7.4%
2019-$28.9K+3.7%
2018-$30.0K+3.4%
2017-$31.1K-63500.0%
2016$49+100.1%
2015-$48.5K-97.8%
2014-$24.5K-6.9%
2013-$22.9K+25.6%
2012-$30.8K-54.1%
2011-$20.0K