Live Oak Bancshares, Inc. (LOB) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2013: -$44.17M2014: -$261.51M2015: -$334.68M2016: -$221.95M2017: -$287.53M2018: $6.29M2019: -$482.52M2020: -$261.00M2021: -$119.72M2022: -$300.74M2023: $184.90M2024: $156.78M2025: $158.24M$158.24M
2013Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$158.24M+0.9%
2024$156.78M-15.2%
2023$184.90M+161.5%
2022-$300.74M-151.2%
2021-$119.72M+54.1%
2020-$261.00M+45.9%
2019-$482.52M-7766.3%
2018$6.29M+102.2%
2017-$287.53M-29.5%
2016-$221.95M+33.7%
2015-$334.68M-28.0%
2014-$261.51M-492.0%
2013-$44.17M