WOLFSPEED, INC. (WOLF) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $177.92M2010: $250.57M2011: $251.38M2012: $242.28M2013: $285.23M2014: $319.31M2015: $181.25M2016: $203.32M2017: $220.50M2018: $173.50M2019: $202.30M2020: -$29.00M2021: -$125.50M2022: -$154.20M2023: -$142.60M2024: -$725.60M2025: -$711.70M-$711.70M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$711.70M+1.9%
2024-$725.60M-408.8%
2023-$142.60M+7.5%
2022-$154.20M-22.9%
2021-$125.50M-332.8%
2020-$29.00M-114.3%
2019$202.30M+16.6%
2018$173.50M-21.3%
2017$220.50M+8.5%
2016$203.32M+12.2%
2015$181.25M-43.2%
2014$319.31M+11.9%
2013$285.23M+17.7%
2012$242.28M-3.6%
2011$251.38M+0.3%
2010$250.57M+40.8%
2009$177.92M