TMRAFTMRAFOTC
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Cash Flow Under PressureContracting
Percentile Rank0
3Y CAGR-47.0%
5Y CAGR-36.9%
Year-over-Year Change
Cash generated from core business operations
3Y CAGR
-47.0%/yr
vs +2.9%/yr prior
5Y CAGR
-36.9%/yr
Recent deceleration
Acceleration
-49.9pp
Decelerating
Percentile
P0
Near historical low
vs 5Y Ago
0.1x
Contraction
Streak
2 yr
Consecutive declineContracting
| Period | Value | YoY Change |
|---|---|---|
| 2025 | $171.00M | -27.2% |
| 2024 | $235.00M | -85.2% |
| 2023 | $1.59B | +37.9% |
| 2022 | $1.15B | -36.4% |
| 2021 | $1.81B | +5.8% |
| 2020 | $1.71B | +30.3% |
| 2019 | $1.31B | +28.0% |
| 2018 | $1.03B | +0.3% |
| 2017 | $1.02B | -6.6% |
| 2016 | $1.10B | - |