SITE Centers Corp. (SITC) › Operating Cash FlowSITE Centers Corp. (SITC) — Operating Cash FlowAnnual figures by fiscal year, from SEC filings.2008: $391.94M2009: $228.94M2010: $278.12M2011: $273.19M2012: $304.20M2013: $373.97M2014: $420.28M2015: $434.59M2016: $460.66M2017: $410.41M2018: $263.42M2019: $270.15M2020: $190.17M2021: $282.51M2022: $257.26M2023: $238.53M2024: $112.04M2025: $19.61M$19.61M2008Operating Cash Flow (USD)2025Fiscal YearOperating Cash FlowChange YoY2025$19.61M-82.5%2024$112.04M-53.0%2023$238.53M-7.3%2022$257.26M-8.9%2021$282.51M+48.6%2020$190.17M-29.6%2019$270.15M+2.6%2018$263.42M-35.8%2017$410.41M-10.9%2016$460.66M+6.0%2015$434.59M+3.4%2014$420.28M+12.4%2013$373.97M+22.9%2012$304.20M+11.3%2011$273.19M-1.8%2010$278.12M+21.5%2009$228.94M-41.6%2008$391.94M—Other metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesShareholders' EquityCash & EquivalentsCapital ExpendituresShares OutstandingDividends Per Share