CENTRUS ENERGY CORP (LEU) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: -$104.90M2009: $443.40M2010: $22.50M2011: $56.30M2012: $142.90M2013: $81.20M2019: $11.30M2020: $67.10M2021: $50.00M2022: $20.60M2023: $9.10M2024: $37.00M2025: $51.00M$51.00M
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$51.00M+37.8%
2024$37.00M+306.6%
2023$9.10M-55.8%
2022$20.60M-58.8%
2021$50.00M-25.5%
2020$67.10M+493.8%
2019$11.30M
2013$81.20M-43.2%
2012$142.90M+153.8%
2011$56.30M+150.2%
2010$22.50M-94.9%
2009$443.40M+522.7%
2008-$104.90M