KINGSWAY Corp (KWY) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2013: -$41.81M2014: -$16.34M2015: -$32.80M2016: -$15.59M2017: -$14.40M2018: -$10.14M2019: $759.0K2020: $1.67M2021: -$5.91M2022: -$14.57M2023: -$26.19M2024: $1.07M2025: -$3.0K-$3.0K
2013Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$3.0K-100.3%
2024$1.07M+104.1%
2023-$26.19M-79.7%
2022-$14.57M-146.7%
2021-$5.91M-453.3%
2020$1.67M+120.3%
2019$759.0K+107.5%
2018-$10.14M+29.6%
2017-$14.40M+7.6%
2016-$15.59M+52.5%
2015-$32.80M-100.8%
2014-$16.34M+60.9%
2013-$41.81M