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Clearwater Paper (CLW) Cash From Operations

Annual CFO

$190.70 M
+$40.50 M+26.96%

31 December 2023

CLW Cash From Operations Chart

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Quarterly CFO

$16.20 M
-$4.90 M-23.22%

30 September 2024

CLW Quarterly CFO Chart

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TTM CFO

$162.20 M
-$71.90 M-30.71%

30 September 2024

CLW TTM CFO Chart

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CLW Cash From Operations Performance

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year+27.0%-81.6%+13.9%
3 y3 years-22.8%-0.6%+19.9%
5 y5 years+12.9%+152.4%+413.3%

CLW Cash From Operations High & Low

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3 years-22.8%+97.8%-81.6%+278.0%-37.4%+139.9%
5 y5 years-22.8%+243.0%-85.1%+152.4%-39.7%+413.3%
alltimeall time-22.8%+353.4%-85.1%+152.4%-42.8%+413.3%

Clearwater Paper Cash From Operations History

DateAnnualQuarterlyTTM
Sept 2024
-
$16.20 M(-23.2%)
$162.20 M(-30.7%)
June 2024
-
$21.10 M(-64.4%)
$234.10 M(-9.6%)
Mar 2024
-
$59.20 M(-9.9%)
$259.00 M(+35.8%)
Dec 2023
$190.70 M(+27.0%)
$65.70 M(-25.4%)
$190.70 M(+33.9%)
Sept 2023
-
$88.10 M(+91.5%)
$142.40 M(+110.7%)
June 2023
-
$46.00 M(-605.5%)
$67.60 M(-32.4%)
Mar 2023
-
-$9.10 M(-152.3%)
$100.00 M(-33.4%)
Dec 2022
$150.20 M(+55.8%)
$17.40 M(+30.8%)
$150.20 M(-8.9%)
Sept 2022
-
$13.30 M(-83.0%)
$164.80 M(-1.8%)
June 2022
-
$78.40 M(+90.8%)
$167.80 M(+61.8%)
Mar 2022
-
$41.10 M(+28.4%)
$103.70 M(+7.6%)
Dec 2021
$96.40 M(-61.0%)
$32.00 M(+96.3%)
$96.40 M(-28.8%)
Sept 2021
-
$16.30 M(+14.0%)
$135.30 M(-22.6%)
June 2021
-
$14.30 M(-57.7%)
$174.70 M(-35.1%)
Mar 2021
-
$33.80 M(-52.3%)
$269.10 M(+8.9%)
Dec 2020
$247.00 M(+344.2%)
$70.90 M(+27.3%)
$247.00 M(-0.4%)
Sept 2020
-
$55.70 M(-48.8%)
$247.90 M(+53.7%)
June 2020
-
$108.70 M(+829.1%)
$161.30 M(+66.8%)
Mar 2020
-
$11.70 M(-83.7%)
$96.70 M(+73.9%)
Dec 2019
$55.60 M(-67.1%)
$71.80 M(-332.4%)
$55.60 M(+75.9%)
Sept 2019
-
-$30.90 M(-170.1%)
$31.60 M(-56.5%)
June 2019
-
$44.10 M(-250.0%)
$72.71 M(-33.1%)
Mar 2019
-
-$29.40 M(-161.5%)
$108.64 M(-35.7%)
Dec 2018
$168.90 M(-5.5%)
$47.80 M(+368.1%)
$168.90 M(+14.4%)
Sept 2018
-
$10.21 M(-87.2%)
$147.62 M(-20.6%)
June 2018
-
$80.03 M(+159.3%)
$185.99 M(+13.4%)
Mar 2018
-
$30.86 M(+16.3%)
$164.02 M(-8.2%)
Dec 2017
$178.70 M(+3.4%)
$26.52 M(-45.4%)
$178.70 M(-3.9%)
Sept 2017
-
$48.58 M(-16.3%)
$186.04 M(+3.4%)
June 2017
-
$58.06 M(+27.5%)
$179.94 M(+6.3%)
Mar 2017
-
$45.54 M(+34.5%)
$169.27 M(-2.0%)
Dec 2016
$172.75 M(+8.2%)
$33.87 M(-20.3%)
$172.75 M(-9.6%)
Sept 2016
-
$42.47 M(-10.4%)
$191.00 M(+13.6%)
June 2016
-
$47.39 M(-3.3%)
$168.18 M(-6.9%)
Mar 2016
-
$49.02 M(-5.9%)
$180.65 M(+13.1%)
Dec 2015
$159.68 M
$52.12 M(+165.3%)
$159.68 M(+10.3%)
DateAnnualQuarterlyTTM
Sept 2015
-
$19.64 M(-67.2%)
$144.72 M(+9.6%)
June 2015
-
$59.86 M(+113.4%)
$132.10 M(+0.2%)
Mar 2015
-
$28.05 M(-24.5%)
$131.88 M(-5.2%)
Dec 2014
$139.10 M(+2.0%)
$37.17 M(+429.6%)
$139.10 M(-5.2%)
Sept 2014
-
$7.02 M(-88.2%)
$146.75 M(-29.9%)
June 2014
-
$59.64 M(+69.1%)
$209.30 M(+32.4%)
Mar 2014
-
$35.27 M(-21.3%)
$158.11 M(+16.0%)
Dec 2013
$136.36 M(-31.4%)
$44.82 M(-35.6%)
$136.36 M(+5.2%)
Sept 2013
-
$69.57 M(+722.5%)
$129.65 M(-2.1%)
June 2013
-
$8.46 M(-37.4%)
$132.37 M(-23.8%)
Mar 2013
-
$13.51 M(-64.5%)
$173.76 M(-12.5%)
Dec 2012
$198.69 M(+190.5%)
$38.11 M(-47.3%)
$198.69 M(+26.8%)
Sept 2012
-
$72.28 M(+45.0%)
$156.68 M(+40.1%)
June 2012
-
$49.86 M(+29.7%)
$111.80 M(+63.8%)
Mar 2012
-
$38.44 M(-1083.7%)
$68.26 M(-0.2%)
Dec 2011
$68.39 M(-63.1%)
-$3.91 M(-114.3%)
$68.39 M(+0.4%)
Sept 2011
-
$27.41 M(+334.3%)
$68.14 M(+4.2%)
June 2011
-
$6.31 M(-83.6%)
$65.41 M(-57.3%)
Mar 2011
-
$38.58 M(-1026.8%)
$153.21 M(-17.4%)
Dec 2010
$185.59 M(-17.4%)
-$4.16 M(-116.9%)
$185.59 M(-19.8%)
Sept 2010
-
$24.68 M(-73.8%)
$231.47 M(-18.4%)
June 2010
-
$94.12 M(+32.6%)
$283.66 M(+8.7%)
Mar 2010
-
$70.96 M(+70.1%)
$260.95 M(+16.1%)
Dec 2009
$224.76 M(+434.4%)
$41.72 M(-45.7%)
$224.76 M(+23.4%)
Sept 2009
-
$76.87 M(+7.7%)
$182.18 M(+68.9%)
June 2009
-
$71.41 M(+105.4%)
$107.89 M(+98.7%)
Mar 2009
-
$34.77 M(-4115.1%)
$54.30 M(+29.1%)
Dec 2008
$42.06 M(-61.2%)
-$866.00 K(-133.7%)
$42.06 M(-41.7%)
Sept 2008
-
$2.57 M(-85.6%)
$72.14 M(-14.8%)
June 2008
-
$17.83 M(-20.9%)
$84.69 M(-7.9%)
Mar 2008
-
$22.52 M(-22.9%)
$91.99 M(-15.2%)
Dec 2007
$108.50 M(+12.8%)
$29.22 M(+93.2%)
$108.50 M(+36.9%)
Sept 2007
-
$15.12 M(-39.8%)
$79.28 M(+23.6%)
June 2007
-
$25.13 M(-35.6%)
$64.16 M(+64.4%)
Mar 2007
-
$39.03 M
$39.03 M
Dec 2006
$96.17 M
-
-

FAQ

  • What is Clearwater Paper annual cash flow from operations?
  • What is the all time high annual CFO for Clearwater Paper?
  • What is Clearwater Paper annual CFO year-on-year change?
  • What is Clearwater Paper quarterly cash flow from operations?
  • What is the all time high quarterly CFO for Clearwater Paper?
  • What is Clearwater Paper quarterly CFO year-on-year change?
  • What is Clearwater Paper TTM cash flow from operations?
  • What is the all time high TTM CFO for Clearwater Paper?
  • What is Clearwater Paper TTM CFO year-on-year change?

What is Clearwater Paper annual cash flow from operations?

The current annual CFO of CLW is $190.70 M

What is the all time high annual CFO for Clearwater Paper?

Clearwater Paper all-time high annual cash flow from operations is $247.00 M

What is Clearwater Paper annual CFO year-on-year change?

Over the past year, CLW annual cash flow from operations has changed by +$40.50 M (+26.96%)

What is Clearwater Paper quarterly cash flow from operations?

The current quarterly CFO of CLW is $16.20 M

What is the all time high quarterly CFO for Clearwater Paper?

Clearwater Paper all-time high quarterly cash flow from operations is $108.70 M

What is Clearwater Paper quarterly CFO year-on-year change?

Over the past year, CLW quarterly cash flow from operations has changed by -$71.90 M (-81.61%)

What is Clearwater Paper TTM cash flow from operations?

The current TTM CFO of CLW is $162.20 M

What is the all time high TTM CFO for Clearwater Paper?

Clearwater Paper all-time high TTM cash flow from operations is $283.66 M

What is Clearwater Paper TTM CFO year-on-year change?

Over the past year, CLW TTM cash flow from operations has changed by +$19.80 M (+13.90%)