Consumer Portfolio Services, Inc.CPSSNASDAQ
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Cash Flow Performance
Profitability in line with historical norms
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Operating cash flow minus capital expenditures

Latest
$233.32M
Near historical average
Average (9y)
$214.72M
Historical baseline
Range
High:$238.74M
Low:$186.36M
CAGR
+2.5%
Modest growth trend
PeriodValueChange
2024$233.32M-1.7%
2023$237.42M+11.1%
2022$213.78M+9.0%
2021$196.22M-17.8%
2020$238.74M+10.5%
2019$216.03M+0.4%
2018$215.13M+0.1%
2017$214.98M+10.1%
2016$195.25M+4.8%
2015$186.36M-