OOMA INC (OOMA) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2017: $385.0K2018: $3.17M2019: -$3.93M2020: -$7.56M2021: $4.37M2022: $6.66M2023: $8.77M2024: $12.27M2025: $26.61M2026: $27.69M$27.69M
2017Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$27.69M+4.1%
2025$26.61M+116.8%
2024$12.27M+39.9%
2023$8.77M+31.8%
2022$6.66M+52.4%
2021$4.37M+157.7%
2020-$7.56M-92.7%
2019-$3.93M-223.7%
2018$3.17M+724.2%
2017$385.0K