PYXUS INTERNATIONAL, INC. (PYYX) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: $111.32M2011: -$183.02M2012: $58.97M2013: -$1.63M2014: $262.47M2015: -$55.22M2016: -$135.33M2017: $14.20M2018: -$307.18M2019: -$248.28M2020: -$358.62M2022: -$198.76M2023: -$137.82M2024: -$214.97M2025: -$13.39M2026: -$208.45M-$208.45M
2010Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026-$208.45M-1457.2%
2025-$13.39M+93.8%
2024-$214.97M-56.0%
2023-$137.82M+30.7%
2022-$198.76M
2020-$358.62M-44.4%
2019-$248.28M+19.2%
2018-$307.18M-2262.6%
2017$14.20M+110.5%
2016-$135.33M-145.1%
2015-$55.22M-121.0%
2014$262.47M+16163.2%
2013-$1.63M-102.8%
2012$58.97M+132.2%
2011-$183.02M-264.4%
2010$111.32M