Texas Pacific Land Corp (TPL) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2018: $195.45M2019: $342.79M2020: $207.04M2021: $265.16M2022: $447.15M2023: $418.29M2024: $490.67M2025: $545.91M$545.91M
2018Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$545.91M+11.3%
2024$490.67M+17.3%
2023$418.29M-6.5%
2022$447.15M+68.6%
2021$265.16M+28.1%
2020$207.04M-39.6%
2019$342.79M+75.4%
2018$195.45M