ONTO INNOVATION INC. (ONTO) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$5.75M2011: $54.03M2012: $24.01M2013: -$2.43M2014: -$635.0K2016: $45.69M2017: $64.17M2018: $35.09M2019: $18.15M2020: $105.98M2022: $136.70M2023: $171.97M2024: $245.68M2026: $328.31M$328.31M
2010Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$328.31M
2024$245.68M+42.9%
2023$171.97M+25.8%
2022$136.70M
2020$105.98M+484.1%
2019$18.15M-48.3%
2018$35.09M-45.3%
2017$64.17M+40.5%
2016$45.69M
2014-$635.0K+73.9%
2013-$2.43M-110.1%
2012$24.01M-55.6%
2011$54.03M+1038.8%
2010-$5.75M