Lightstone Value Plus REIT IV, Inc. (LTSV) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2016: $1.43M2017: $3.63M2018: $3.34M2019: $637.8K2020: -$730.7K2021: -$720.9K2022: -$2.72M2023: -$4.76M2024: -$7.71M2025: -$850.0K-$850.0K
2016Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$850.0K+89.0%
2024-$7.71M-62.0%
2023-$4.76M-74.8%
2022-$2.72M-277.5%
2021-$720.9K+1.3%
2020-$730.7K-214.6%
2019$637.8K-80.9%
2018$3.34M-8.1%
2017$3.63M+153.5%
2016$1.43M