Targa Resources Corp. (TRGP) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $335.80M2010: $205.20M2011: $379.30M2012: $428.20M2013: $382.70M2016: $837.40M2017: $939.50M2018: $1.14B2019: $1.39B2020: $1.74B2021: $2.30B2022: $2.38B2023: $3.21B2024: $3.65B2025: $3.92B$3.92B
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$3.92B+7.3%
2024$3.65B+13.6%
2023$3.21B+34.9%
2022$2.38B+3.4%
2021$2.30B+32.0%
2020$1.74B+25.5%
2019$1.39B+21.5%
2018$1.14B+21.8%
2017$939.50M+12.2%
2016$837.40M
2013$382.70M-10.6%
2012$428.20M+12.9%
2011$379.30M+84.8%
2010$205.20M-38.9%
2009$335.80M