TREDEGAR CORP (TG) › Operating Cash FlowTREDEGAR CORP (TG) — Operating Cash FlowAnnual figures by fiscal year, from SEC filings.2009: $103.22M2010: $46.41M2011: $71.77M2012: $82.59M2013: $76.72M2014: $51.23M2015: $74.26M2016: $48.87M2017: $88.22M2018: $97.79M2019: $115.86M2020: $74.37M2021: $70.58M2022: -$20.84M2023: $24.00M2024: $25.51M2025: $32.98M$32.98M2009Operating Cash Flow (USD)2025Fiscal YearOperating Cash FlowChange YoY2025$32.98M+29.3%2024$25.51M+6.3%2023$24.00M+215.1%2022-$20.84M-129.5%2021$70.58M-5.1%2020$74.37M-35.8%2019$115.86M+18.5%2018$97.79M+10.9%2017$88.22M+80.5%2016$48.87M-34.2%2015$74.26M+44.9%2014$51.23M-33.2%2013$76.72M-7.1%2012$82.59M+15.1%2011$71.77M+54.6%2010$46.41M-55.0%2009$103.22M—Other metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesShareholders' EquityCash & EquivalentsCapital ExpendituresShares OutstandingDividends Per Share