CADRE HOLDINGS, INC. (CDRE) Operating cash flow 2020–2025
CADRE HOLDINGS, INC. (CDRE) annual operating cash flow history from SEC filings — net cash provided by operating activities each fiscal year.
$63.7MFY2025 · since FY2020: $45.4M → $63.7M
| Fiscal year | Value | YoY |
|---|---|---|
| FY2025 | $63.7M | +100.5% |
| FY2024 | $31.8M | -56.6% |
| FY2023 | $73.2M | +57.7% |
| FY2022 | $46.4M | +15.8% |
| FY2021 | $40.1M | -11.7% |
| FY2020 | $45.4M | — |
Source: SEC XBRL filings · For reference only · Not investment advice