Pool CorporationPOOLNASDAQ
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Cash Flow Under Pressure
Trending lower, above historical average, strong compound growth.
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Operating cash flow minus capital expenditures

Latest
$599.71M
↑ 84% above average
Average (9y)
$325.72M
Historical baseline
Range
High:$828.13M
Low:$87.08M
CAGR
+19.9%
Consistent expansion
PeriodValueChange
2024$599.71M-27.6%
2023$828.13M+87.7%
2022$441.24M+60.0%
2021$275.83M-26.6%
2020$375.88M+41.6%
2019$265.41M+204.8%
2018$87.08M-35.9%
2017$135.92M+3.7%
2016$131.03M+12.0%
2015$116.95M-