RADNOSTIX INC (INIS) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$4.56M2011: $66.9K2012: -$2.73M2013: -$1.39M2014: $339.8K2015: $339.6K2016: -$324.2K2017: -$465.7K2018: $97.2K2019: -$53.6K2020: $1.15M2021: -$161.9K2022: -$1.50M2023: $582.6K2024: $638.8K2025: $620.2K$620.2K
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$620.2K-2.9%
2024$638.8K+9.6%
2023$582.6K+138.9%
2022-$1.50M-825.0%
2021-$161.9K-114.1%
2020$1.15M+2246.5%
2019-$53.6K-155.1%
2018$97.2K+120.9%
2017-$465.7K-43.7%
2016-$324.2K-195.5%
2015$339.6K-0.1%
2014$339.8K+124.4%
2013-$1.39M+49.0%
2012-$2.73M-4186.7%
2011$66.9K+101.5%
2010-$4.56M