J M SMUCKER Co (SJM) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $446.99M2010: $713.48M2011: $391.56M2012: $730.93M2018: $1.22B2019: $1.14B2020: $1.25B2021: $1.56B2022: $1.14B2023: $1.19B2024: $1.23B2025: $1.21B2026: $1.47B$1.47B
2009Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$1.47B+21.7%
2025$1.21B-1.5%
2024$1.23B+2.9%
2023$1.19B+5.1%
2022$1.14B-27.4%
2021$1.56B+24.7%
2020$1.25B+10.0%
2019$1.14B-6.3%
2018$1.22B
2012$730.93M+86.7%
2011$391.56M-45.1%
2010$713.48M+59.6%
2009$446.99M