SPINDLETOP OIL & GAS CO (SPND) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: $3.22M2012: $4.57M2013: $4.66M2014: $8.52M2015: -$335.0K2016: -$753.0K2017: $1.06M2018: $1.09M2019: -$231.0K2020: -$761.0K2021: $2.44M2022: $1.60M2023: $853.0K2024: $224.0K2025: -$135.0K-$135.0K
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$135.0K-160.3%
2024$224.0K-73.7%
2023$853.0K-46.7%
2022$1.60M-34.5%
2021$2.44M+420.8%
2020-$761.0K-229.4%
2019-$231.0K-121.2%
2018$1.09M+2.6%
2017$1.06M+240.8%
2016-$753.0K-124.8%
2015-$335.0K-103.9%
2014$8.52M+82.9%
2013$4.66M+1.9%
2012$4.57M+41.9%
2011$3.22M