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Civeo CVEO Cash Flow Statement

FY'25FY'24FY'23FY'22
-$20.08M-8.9%-$18.43M-162%$29.73M
$72.62M+6.7%$68.04M-9.5%$75.14M-13.8%$87.21M+4.9%
-$4.41M+42.4%-$7.66M
$1.97M-69.3%$6.42M-69.7%$21.2M+331%$4.92M-20.5%
$135K-16.7%$162K
-$4.74M+89.3%-$44.23M
$1.85M
$7.44M-39.6%$12.32M-20.2%
-$2.04M-$3.22M
-$15.6M$3.58M+71,420%$5K+118%
$22.34M-73.3%$83.51M-13.5%$96.57M+5.2%$91.77M+3.7%
$20.19M-22.8%$26.14M-17.4%$31.63M+24.4%$25.42M+60.4%
$2.25M-79.6%$11.01M-34.2%$16.74M+2.8%$16.29M+13.8%
-$90.11M-503%-$14.94M-2.9%-$14.52M-62.3%-$8.95M
$14.42M
$53.61M+81.0%$29.62M+155%$11.63M-18.1%$14.21M+206%
$330.13M+16.1%$284.31M+35.0%$210.58M-27.3%$289.71M-27.2%
$0$0-100%$29.9M-1.8%$30.44M-75.7%
-$645K+39.6%-$1.07M$0+100%-$1.08M+3.8%
$2.98M
-$65.2M+24.9%-$86.8M-9.0%-$79.66M+7.9%
$127K
-$4.63M
$1.97M-69.3%$6.42M-69.7%$21.2M+331%$4.92M-20.5%
-$2.04M-8.1%-$1.89M-$3.22M
$135K-16.7%$162K
$2.25M-79.6%$11.01M-34.2%$16.74M+2.8%$16.29M+13.8%
$2.98M
$991K+62.7%$609K+19.4%$510K-0.2%$511K-11.1%
$3.06M+7.3%$2.85M-36.1%$4.46M+17.8%$3.79M-8.2%
$2.15M-96.3%$57.37M-11.6%$64.93M-2.1%$66.35M-9.1%
$2.15M-96.3%$57.37M-11.6%$64.93M-2.1%$66.35M-9.1%

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Questions, answered.

How much cash does Civeo generate?
Civeo (CVEO) generated $21.0M in operating cash flow over the trailing twelve months.
What is Civeo's free cash flow?
After $19.1M of capital expenditures, Civeo's free cash flow was $2.0M over the trailing twelve months, down 95.4% year over year.
Where does Civeo's cash flow data come from?
Every line is extracted from Civeo's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.