SiriusPoint Ltd (SPNT) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2012: -$30.89M2013: $19.71M2014: $122.43M2015: $187.78M2016: $4.77M2017: -$78.54M2018: $13.39M2019: $141.10M2020: $73.30M2021: $1.60M2022: $293.30M2023: $581.30M2024: $74.70M2025: $102.40M$102.40M
2012Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$102.40M+37.1%
2024$74.70M-87.1%
2023$581.30M+98.2%
2022$293.30M+18231.2%
2021$1.60M-97.8%
2020$73.30M-48.1%
2019$141.10M+954.0%
2018$13.39M+117.0%
2017-$78.54M-1746.1%
2016$4.77M-97.5%
2015$187.78M+53.4%
2014$122.43M+521.2%
2013$19.71M+163.8%
2012-$30.89M