LiveRamp Holdings, Inc. (RAMP) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2012: $229.45M2013: $147.38M2014: $95.79M2015: $61.13M2016: $113.64M2017: -$25.89M2018: -$14.09M2019: -$1.98M2020: -$28.57M2021: -$20.56M2022: $78.08M2023: $34.44M2024: $105.66M2025: $153.97M2026: $167.75M$167.75M
2012Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$167.75M+9.0%
2025$153.97M+45.7%
2024$105.66M+206.8%
2023$34.44M-55.9%
2022$78.08M+479.8%
2021-$20.56M+28.0%
2020-$28.57M-1344.6%
2019-$1.98M+86.0%
2018-$14.09M+45.6%
2017-$25.89M-122.8%
2016$113.64M+85.9%
2015$61.13M-36.2%
2014$95.79M-35.0%
2013$147.38M-35.8%
2012$229.45M