Terreno Realty Corp (TRNO) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2011: $2.15M2012: $9.75M2013: $13.49M2014: $29.32M2015: $42.07M2016: $49.24M2017: $69.50M2018: $77.60M2019: $94.69M2020: $101.05M2021: $132.21M2022: $143.21M2023: $179.68M2024: $232.69M2025: $271.86M$271.86M
2011Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$271.86M+16.8%
2024$232.69M+29.5%
2023$179.68M+25.5%
2022$143.21M+8.3%
2021$132.21M+30.8%
2020$101.05M+6.7%
2019$94.69M+22.0%
2018$77.60M+11.7%
2017$69.50M+41.1%
2016$49.24M+17.1%
2015$42.07M+43.5%
2014$29.32M+117.3%
2013$13.49M+38.4%
2012$9.75M+353.7%
2011$2.15M