OPMXFOPMXFOTC
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Operating Cash Flow Growth Recovery in ProgressRecovering
Percentile Rank68
3Y CAGR-35.0%
5Y CAGR-14.5%
Studio
Year-over-Year Change

Year-over-year operating cash flow growth rate

3Y CAGR
-35.0%/yr
Quarterly compound
5Y CAGR
-14.5%/yr
Recent deceleration
Percentile
P68
Within normal range
vs 5Y Ago
0.5x
Contraction
Streak
1 qtr
Consecutive growthRecovering
PeriodValue
Q4 202563.55%
Q3 2025-43.99%
Q2 202519.75%
Q1 2025-44.78%
Q4 2024228.67%
Q3 2024-48.64%
Q2 202438.33%
Q1 2024-44.95%
Q4 2023153.23%
Q3 2023-44.59%
Q2 202325.40%
Q1 2023-55.51%
Q4 2022230.87%
Q3 2022-60.09%
Q2 202283.59%
Q1 202244.80%
Q4 2021-15.68%
Q3 2021741.21%
Q2 2021-96.98%
Q1 2021287.10%
Q4 2020139.30%
Q3 2020-319.05%
Q2 202059.79%
Q1 2020-17.25%
Q4 201945.28%
Q3 2019-35.50%
Q2 201969.88%
Q1 201910.69%
Q4 2018809.44%
Q3 2018-85.10%
Q2 2018125.42%
Q1 2018-63.35%
Q4 2017221.87%
Q3 2017-71.42%
Q2 20176343.64%
Q1 20170.00%
Q3 20160.00%
Q4 20150.00%
Q3 20150.00%