Option Care Health (OPCH) Cash from Financing Activities: 2009-2024
Historic Cash from Financing Activities for Option Care Health (OPCH) over the last 16 years, with FY2024 value amounting to -$218.2 million.
- Option Care Health's Cash from Financing Activities rose 6251.57% to -$16.7 million in Q3 2025 from the same period last year, while for Sep 2025 it was -$285.1 million, marking a year-over-year decrease of 6524.67%. This contributed to the annual value of -$218.2 million for FY2024, which is 1769.72% up from last year.
- Latest data reveals that Option Care Health reported Cash from Financing Activities of -$218.2 million as of FY2024, which was up 1769.72% from -$265.1 million recorded in FY2023.
- In the past 5 years, Option Care Health's Cash from Financing Activities ranged from a high of $15.3 million in FY2022 and a low of -$265.1 million during FY2023
- Over the past 5 years, Option Care Health's median Cash from Financing Activities value was -$76.9 million (recorded in 2021), while the average stood at -$122.8 million.
- In the last 5 years, Option Care Health's Cash from Financing Activities surged by 11986.21% in 2022 and then tumbled by 183648.15% in 2023.
- Over the past 5 years, Option Care Health's Cash from Financing Activities (Annual) stood at -$68.8 million in 2020, then dropped by 11.65% to -$76.9 million in 2021, then skyrocketed by 119.86% to $15.3 million in 2022, then crashed by 1836.48% to -$265.1 million in 2023, then grew by 17.7% to -$218.2 million in 2024.
- Its Cash from Financing Activities was -$218.2 million in FY2024, compared to -$265.1 million in FY2023 and $15.3 million in FY2022.