RESURS.STRESURS.STSTO
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Operating Cash Flow Growth Recovery in ProgressRecovering
Percentile Rank64
3Y CAGR-51.7%
5Y CAGR-25.7%
Studio
Year-over-Year Change

Year-over-year operating cash flow growth rate

3Y CAGR
-51.7%/yr
Quarterly compound
5Y CAGR
-25.7%/yr
Recent deceleration
Percentile
P64
Within normal range
vs 5Y Ago
0.2x
Contraction
Streak
1 qtr
Consecutive growthRecovering
PeriodValue
Q2 202563.51%
Q1 2025-240.70%
Q4 20242466.71%
Q3 2024-96.11%
Q2 2024417.33%
Q1 2024-132.56%
Q4 2023483.52%
Q3 2023-131.26%
Q2 20231070.22%
Q1 2023-80.20%
Q4 2022-38.52%
Q3 2022-30.94%
Q2 2022564.84%
Q1 2022-149.21%
Q4 2021182.26%
Q3 2021-232.07%
Q2 2021359.92%
Q1 2021-32.19%
Q4 2020-75.01%
Q3 2020-52.56%
Q2 2020279.58%
Q1 2020-55.19%
Q4 2019-155.01%
Q3 2019324.87%
Q2 2019-41.69%
Q1 2019-60.16%
Q4 2018257.81%
Q3 2018-184.87%
Q2 2018160.99%
Q1 2018-216.95%
Q4 201712.90%
Q3 2017-15.63%
Q2 201761.38%
Q1 2017-92.52%
Q4 201633.71%
Q3 2016-176.02%
Q2 20162214.30%
Q1 2016201.82%
Q4 201595.25%
Q3 2015-206.38%