Right On Brands, Inc. (RTON) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2014: -$52.3K2015: -$16.5K2016: -$24.7K2017: -$172.3K2018: -$524.8K2019: -$873.6K2020: -$683.0K2021: -$203.0K2022: -$150.7K2023: -$66.1K-$66.1K
2014Operating Cash Flow (USD)2023
Fiscal YearOperating Cash FlowChange YoY
2023-$66.1K+56.1%
2022-$150.7K+25.8%
2021-$203.0K+70.3%
2020-$683.0K+21.8%
2019-$873.6K-66.5%
2018-$524.8K-204.6%
2017-$172.3K-598.6%
2016-$24.7K-49.3%
2015-$16.5K+68.4%
2014-$52.3K