SUNRISE REAL ESTATE GROUP INC (SRRE) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$178.1K2011: -$4.57M2012: -$13.61M2014: -$28.42M2015: -$7.43M2016: $23.20M2017: -$2.77M2018: -$8.53M2019: -$49.35M2020: $18.59M2021: -$19.04M2022: -$13.17M2023: -$4.06M2024: -$4.18M2025: -$15.93M-$15.93M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$15.93M-281.1%
2024-$4.18M-3.0%
2023-$4.06M+69.2%
2022-$13.17M+30.8%
2021-$19.04M-202.4%
2020$18.59M+137.7%
2019-$49.35M-478.6%
2018-$8.53M-208.4%
2017-$2.77M-111.9%
2016$23.20M+412.1%
2015-$7.43M+73.8%
2014-$28.42M
2012-$13.61M-198.2%
2011-$4.57M-2463.9%
2010-$178.1K