TruBridge, Inc. (TBRG) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $8.81M2010: $19.64M2011: $33.54M2012: $32.21M2013: $29.05M2014: $38.95M2015: $30.88M2016: $2.10M2017: $23.64M2018: $23.93M2019: $43.60M2020: $49.14M2021: $47.74M2022: $32.38M2023: -$522.0K2024: $31.14M2025: $36.97M$36.97M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$36.97M+18.7%
2024$31.14M+6065.7%
2023-$522.0K-101.6%
2022$32.38M-32.2%
2021$47.74M-2.8%
2020$49.14M+12.7%
2019$43.60M+82.2%
2018$23.93M+1.2%
2017$23.64M+1023.2%
2016$2.10M-93.2%
2015$30.88M-20.7%
2014$38.95M+34.1%
2013$29.05M-9.8%
2012$32.21M-4.0%
2011$33.54M+70.8%
2010$19.64M+122.9%
2009$8.81M