APi Group Cash Flow from Operating Activities 2019-2023 | APG

APi Group annual/quarterly cash flow from operating activities history and growth rate from 2019 to 2023. Cash flow from operating activities can be defined as a company's cash flows from operations.
  • APi Group cash flow from operating activities for the quarter ending December 31, 2023 was $0.514B, a 90.37% increase year-over-year.
  • APi Group cash flow from operating activities for the twelve months ending December 31, 2023 was $803M, a 372.35% increase year-over-year.
  • APi Group annual cash flow from operating activities for 2023 was $0.514B, a 90.37% increase from 2022.
  • APi Group annual cash flow from operating activities for 2022 was $0.27B, a 48.35% increase from 2021.
  • APi Group annual cash flow from operating activities for 2021 was $0.182B, a 63.31% decline from 2020.
APi Group Annual Cash Flow Ops
(Millions of US $)
2023 $514
2022 $270
2021 $182
2020 $496
2019 $150
2018 $112
Sector Industry Market Cap Revenue
Business Services Business Services $10.195B $6.928B
APi Group Corporation provides business services of safety, specialty and industrial. The Company offers critical pipeline integrity and construction services for energy companies, utilities, public agencies, and contractors, as well as end-to-end fire protection solutions, including design, installation, inspection and service of fire protection systems. It operates principally in North America. APi Group Corporation is based in MN, United States.
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