Xerox Holdings Cash Flow from Operating Activities 2010-2023 | XRX

Xerox Holdings cash flow from operating activities from 2010 to 2023. Cash flow from operating activities can be defined as a company's cash flows from operations.
Xerox Holdings Annual Cash Flow Ops
(Millions of US $)
2023 $686
2022 $159
2021 $629
2020 $548
2019 $1,333
2018 $1,140
2017 $-267
2016 $798
2015 $1,611
2014 $2,063
2013 $2,375
2012 $2,580
2011 $1,961
2010 $2,726
2009 $2,208
Sector Industry Market Cap Revenue
Industrial Products Office Supplies and Forms $1.757B $6.886B
Xerox Holdings remains a leader in the contractual print and document services market. Xerox deploys an aggressive product-development program to revive sales. It has developed one of the industry's strongest portfolios of managed print service (MPS) solutions and services. Its strategy is to use data-centric technologies to better help customers in their digital transformation journey, taking advantage of the changing market conditions. It focuses on market trends, such as cloud, analytics, digital and security, with a view to effectively address customer needs. The company is using security and digital transformation as key competitive differentiators. Programs like Virtual Print and FedRAMP authorization are helping the company broaden its market opportunities. Xerox's bottom line is benefiting from `Project Own It`, an initiative aimed at increasing productivity and operational efficiency, reducing costs and realigning business to changing market conditions.
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