Planet Green Holdings Corp. (PLAG) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: $24.44M2011: -$2.14M2012: $8.96M2013: -$8.45M2014: $11.39M2015: $18.29M2016: -$29.79M2017: -$360.1K2018: -$14.15M2019: -$5.42M2020: -$3.50M2021: -$519.4K2022: -$9.01M2023: -$5.28M2024: $811.8K2025: -$1.79M-$1.79M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$1.79M-320.0%
2024$811.8K+115.4%
2023-$5.28M+41.4%
2022-$9.01M-1635.2%
2021-$519.4K+85.2%
2020-$3.50M+35.4%
2019-$5.42M+61.7%
2018-$14.15M-3829.9%
2017-$360.1K+98.8%
2016-$29.79M-262.9%
2015$18.29M+60.6%
2014$11.39M+234.8%
2013-$8.45M-194.3%
2012$8.96M+518.3%
2011-$2.14M-108.8%
2010$24.44M