NXT Energy Solutions Inc. (NSFDF) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -2.69M CAD2011: -1.76M CAD2012: 793.0K CAD2013: -775.0K CAD2014: -3.58M CAD2015: 6.98M CAD2016: -7.59M CAD2017: -5.46M CAD2018: -6.07M CAD2019: 4.05M CAD2020: -3.41M CAD2021: -1.03M CAD2022: -2.93M CAD2023: -4.83M CAD2024: -3.97M CAD-3.97M CAD
2010Operating Cash Flow (CAD)2024
Fiscal YearOperating Cash FlowChange YoY
2024-3.97M CAD+17.8%
2023-4.83M CAD-64.7%
2022-2.93M CAD-184.0%
2021-1.03M CAD+69.7%
2020-3.41M CAD-184.1%
20194.05M CAD+166.8%
2018-6.07M CAD-11.1%
2017-5.46M CAD+28.0%
2016-7.59M CAD-208.6%
20156.98M CAD+295.0%
2014-3.58M CAD-362.1%
2013-775.0K CAD-197.7%
2012793.0K CAD+145.1%
2011-1.76M CAD+34.8%
2010-2.69M CAD