Sabre Corp (SABR) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2012: $308.16M2013: $228.23M2014: $387.66M2015: $529.21M2016: $699.40M2017: $678.03M2018: $724.80M2019: $581.26M2020: -$770.25M2021: -$414.65M2022: -$276.46M2023: $67.37M2024: $70.25M2025: -$108.86M-$108.86M
2012Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$108.86M-255.0%
2024$70.25M+4.3%
2023$67.37M+124.4%
2022-$276.46M+33.3%
2021-$414.65M+46.2%
2020-$770.25M-232.5%
2019$581.26M-19.8%
2018$724.80M+6.9%
2017$678.03M-3.1%
2016$699.40M+32.2%
2015$529.21M+36.5%
2014$387.66M+69.9%
2013$228.23M-25.9%
2012$308.16M