Brookfield Oaktree Holdings, LLC (OAK-PA) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: $3.38B2011: $1.13B2012: $6.96B2013: $5.44B2014: -$4.33B2015: -$943.23M2016: -$317.91M2017: -$336.31M2018: -$617.02M2019: -$3.13B2020: -$1.08B2021: -$2.73B2022: -$1.89B2023: -$730.72M2024: -$538.64M2025: $470.99M$470.99M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$470.99M+187.4%
2024-$538.64M+26.3%
2023-$730.72M+61.4%
2022-$1.89B+30.7%
2021-$2.73B-153.6%
2020-$1.08B+65.6%
2019-$3.13B-407.9%
2018-$617.02M-83.5%
2017-$336.31M-5.8%
2016-$317.91M+66.3%
2015-$943.23M+78.2%
2014-$4.33B-179.6%
2013$5.44B-21.9%
2012$6.96B+515.9%
2011$1.13B-66.6%
2010$3.38B