PIPER SANDLER COMPANIES (PIPR) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: $62.12M2009: -$115.95M2010: -$26.27M2011: $205.33M2012: -$211.78M2013: $42.16M2014: -$50.07M2015: $379.52M2016: -$3.23M2017: $203.00M2018: $509.80M2019: $67.80M2020: $779.76M2021: $707.09M2022: -$224.91M2023: $275.63M2024: $313.25M2025: $586.63M$586.63M
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$586.63M+87.3%
2024$313.25M+13.7%
2023$275.63M+222.6%
2022-$224.91M-131.8%
2021$707.09M-9.3%
2020$779.76M+1050.1%
2019$67.80M-86.7%
2018$509.80M+151.1%
2017$203.00M+6394.6%
2016-$3.23M-100.8%
2015$379.52M+858.0%
2014-$50.07M-218.8%
2013$42.16M+119.9%
2012-$211.78M-203.1%
2011$205.33M+881.6%
2010-$26.27M+77.3%
2009-$115.95M-286.7%
2008$62.12M