trivago N.V. (TRVG) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2014: 630.0K EUR2015: -1.01M EUR2016: 31.35M EUR2017: -8.52M EUR2018: -4.58M EUR2019: 74.22M EUR2020: 7.87M EUR2021: 32.54M EUR2022: 66.27M EUR2023: 27.80M EUR2024: 20.25M EUR2025: 7.73M EUR7.73M EUR
2014Operating Cash Flow (EUR)2025
Fiscal YearOperating Cash FlowChange YoY
20257.73M EUR-61.8%
202420.25M EUR-27.2%
202327.80M EUR-58.0%
202266.27M EUR+103.7%
202132.54M EUR+313.3%
20207.87M EUR-89.4%
201974.22M EUR+1719.1%
2018-4.58M EUR+46.2%
2017-8.52M EUR-127.2%
201631.35M EUR+3188.3%
2015-1.01M EUR-261.1%
2014630.0K EUR