XOMA Royalty Corp (XOMA) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $7.43M2010: -$52.54M2011: -$29.06M2012: -$40.77M2013: -$45.91M2017: $2.69M2018: -$12.64M2019: -$285.0K2020: $10.09M2021: $22.68M2022: -$12.88M2023: -$18.16M2024: -$13.75M2025: $2.87M$2.87M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$2.87M+120.9%
2024-$13.75M+24.3%
2023-$18.16M-41.0%
2022-$12.88M-156.8%
2021$22.68M+124.7%
2020$10.09M+3641.1%
2019-$285.0K+97.7%
2018-$12.64M-570.7%
2017$2.69M
2013-$45.91M-12.6%
2012-$40.77M-40.3%
2011-$29.06M+44.7%
2010-$52.54M-806.6%
2009$7.43M