Rithm Property Trust Inc. (RPT-PC) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2015: -$10.68M2016: -$5.22M2017: -$8.70M2018: $1.03M2019: -$15.00M2020: -$14.06M2021: -$18.24M2022: $1.14M2023: -$46.46M2024: $290.0K2025: -$8.30M-$8.30M
2015Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$8.30M-2963.8%
2024$290.0K+100.6%
2023-$46.46M-4193.7%
2022$1.14M+106.2%
2021-$18.24M-29.7%
2020-$14.06M+6.3%
2019-$15.00M-1551.9%
2018$1.03M+111.9%
2017-$8.70M-66.5%
2016-$5.22M+51.1%
2015-$10.68M