PetVivo Holdings, Inc. (PETV) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2012: -$49.3K2015: -$398.5K2016: -$690.3K2017: -$143.0K2018: -$575.2K2019: -$736.4K2020: -$498.1K2021: -$767.2K2022: -$4.17M2023: -$6.79M2024: -$7.42M2025: -$5.32M-$5.32M
2012Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$5.32M+28.3%
2024-$7.42M-9.2%
2023-$6.79M-62.7%
2022-$4.17M-444.2%
2021-$767.2K-54.0%
2020-$498.1K+32.4%
2019-$736.4K-28.0%
2018-$575.2K-302.2%
2017-$143.0K+79.3%
2016-$690.3K-73.2%
2015-$398.5K
2012-$49.3K