Prospect Capital Corp (PSEC): Operating Cash Flow

Annual figures by period end, from SEC filings.

$516.31M
Year ended 2026-06-30
+75.5%
5-year compound annual growth
$523.17M2021-06-30: $31.02M2022-06-30: -$795.34M2023-06-30: -$220.85M2024-06-30: $279.98M2025-06-30: $523.17M2026-06-30: $516.31M$516.31M
2021-06-30 Operating Cash Flow (USD) 2026-06-30
Period endedOperating Cash FlowChange YoYSource filing
2026-06-30$516.31M-1.3%2026-08-20, From 2025-07-01
2025-06-30$523.17M+86.9%2026-08-20, From 2024-07-01
2024-06-30$279.98Mn/m2026-08-20, From 2023-07-01
2023-06-30-$220.85Mn/m2025-08-26, From 2022-07-01
2022-06-30-$795.34Mn/m2024-08-28, From 2021-07-01
2021-06-30$31.02Mn/a2023-09-08, From 2020-07-01