LANDS' END, INC. (LE) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2013: $96.25M2014: $114.92M2015: $211.12M2016: $36.34M2017: $24.09M2018: $28.44M2019: $48.20M2020: $27.29M2021: $91.63M2022: $70.57M2023: -$36.37M2024: $130.56M2025: $53.14M2026: $49.62M$49.62M
2013Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$49.62M-6.6%
2025$53.14M-59.3%
2024$130.56M+459.0%
2023-$36.37M-151.5%
2022$70.57M-23.0%
2021$91.63M+235.8%
2020$27.29M-43.4%
2019$48.20M+69.5%
2018$28.44M+18.0%
2017$24.09M-33.7%
2016$36.34M-82.8%
2015$211.12M+83.7%
2014$114.92M+19.4%
2013$96.25M