ProShares Trust II (UVXY) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2016: $1.11B2017: $133.78M2018: $201.69M2019: -$783.65M2020: -$1.31B2021: -$3.21B2022: $1.16B2023: -$1.54B2024: $208.80M2025: -$246.30M-$246.30M
2016Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$246.30M-218.0%
2024$208.80M+113.6%
2023-$1.54B-232.7%
2022$1.16B+136.2%
2021-$3.21B-145.3%
2020-$1.31B-66.8%
2019-$783.65M-488.5%
2018$201.69M+50.8%
2017$133.78M-88.0%
2016$1.11B