SOLAI Ltd (SLAI) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2017: -$31.08M2018: -$23.35M2019: -$22.26M2020: -$9.81M2021: -$34.27M2022: -$63.56M2023: -$28.41M2024: -$32.74M2025: -$26.93M-$26.93M
2017Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$26.93M+17.8%
2024-$32.74M-15.2%
2023-$28.41M+55.3%
2022-$63.56M-85.5%
2021-$34.27M-249.5%
2020-$9.81M+55.9%
2019-$22.26M+4.7%
2018-$23.35M+24.9%
2017-$31.08M