HOVNANIAN ENTERPRISES INC (HOV) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: -$29.73M2010: $32.49M2011: -$207.41M2012: -$67.00M2013: $9.27M2014: -$190.59M2015: -$320.54M2016: $387.00M2017: $301.58M2018: -$66.82M2019: -$249.13M2020: $292.83M2021: $210.21M2022: $89.47M2023: $435.27M2024: $23.64M2025: $188.28M$188.28M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$188.28M+696.4%
2024$23.64M-94.6%
2023$435.27M+386.5%
2022$89.47M-57.4%
2021$210.21M-28.2%
2020$292.83M+217.5%
2019-$249.13M-272.8%
2018-$66.82M-122.2%
2017$301.58M-22.1%
2016$387.00M+220.7%
2015-$320.54M-68.2%
2014-$190.59M-2156.4%
2013$9.27M+113.8%
2012-$67.00M+67.7%
2011-$207.41M-738.5%
2010$32.49M+209.3%
2009-$29.73M