MARKEL GROUP INC. (MKL) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: $397.00M2009: $282.46M2010: $223.29M2011: $311.32M2012: $392.53M2013: $745.52M2014: $716.79M2015: $651.15M2016: $534.62M2017: $858.53M2018: $892.86M2019: $1.27B2020: $1.74B2021: $2.27B2022: $2.71B2023: $2.79B2024: $2.59B2025: $2.76B$2.76B
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$2.76B+6.4%
2024$2.59B-6.9%
2023$2.79B+2.9%
2022$2.71B+19.1%
2021$2.27B+30.9%
2020$1.74B+36.4%
2019$1.27B+42.7%
2018$892.86M+4.0%
2017$858.53M+60.6%
2016$534.62M-17.9%
2015$651.15M-9.2%
2014$716.79M-3.9%
2013$745.52M+89.9%
2012$392.53M+26.1%
2011$311.32M+39.4%
2010$223.29M-20.9%
2009$282.46M-28.9%
2008$397.00M