SPDR GOLD TRUST Operating Cash Flow 2007-2026 | GLD
Beta
What is operating cash flow?
Operating cash flow can be defined as the cash generated from a company's normal business operations, reflecting the ability to generate cash from core activities.
What is SPDR GOLD TRUST's current operating cash flow?
SPDR GOLD TRUST (GLD) annual operating cash flow for 2025 was $0, a NaN% decline from 2024. SPDR GOLD TRUST operating cash flow for the quarter ending March 31, 2026 was $0.
What was SPDR GOLD TRUST's operating cash flow in 2024?
SPDR GOLD TRUST annual operating cash flow for 2024 was $0, a NaN% decline from 2023.
What was SPDR GOLD TRUST's operating cash flow in 2023?
SPDR GOLD TRUST annual operating cash flow for 2023 was $0, a NaN% decline from 2022.
Operating Cash Flow History
Year-over-year comparison from 10-K annual reports
Key Statistics
Trend Direction
Stable
CAGRN/A
FY2020
$0
→
FY2025
$0
07080910111213141516171819202122232425
5 years selected
Company: SPDR GOLD TRUSTTicker: GLDSector: OtherIndustry: Commodity Contracts Brokers & DealersView company profile →