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Cash Flow Statement Highlights for CBRE


Cash Flow Stats

Educational Information

Net Cash Flow is the summation of Operating, Investing and Financing Cash Flows.
A business with negative Net Cash Flows over long periods of time will eventually go bankrupt, as more cash is leaving the company regularly, rather than entering its coffers for later use.
Operating Cash Flow takes the Income Statement, includes some accounting calculations for depreciation and compensation as shares, as well as a few other things, to give you an idea of where cash is moving within company operations.
Investing Cash Flow takes into account money that the company invests back into itself, including Capital Expenditures and some other values.
Financing Cash Flow deals with debt and share issuance or buybacks, as well as dividends paid.


Category Year Operating Cash Flow Op. CF GR Investing Cash Flow Inv. CF GR Financing Cash Flow Fin. CF GR Net Cash Flow Net CF GR
Average $657,278,500 4.401% $-348,222,133 0.145% $-260,938,286 6.378% $-9,815,727 85.887%
2023 $480,000,000 -70.536% $-681,000,000 18.149% $154,000,000 108.720% $-34,000,000 97.004%
2022 $1,629,088,000 -31.093% $-832,000,000 35.046% $-1,766,000,000 -260.408% $-1,134,932,000 -326.533%
2021 $2,364,178,000 29.135% $-1,280,897,000 -274.986% $-490,000,000 -119.972% $501,000,000 -47.012%
2020 $1,830,779,000 49.649% $-341,585,000 52.625% $-222,756,000 18.089% $945,502,000 311.444%
2019 $1,223,380,000 8.144% $-721,024,000 -28.597% $-271,949,000 46.319% $229,801,000 487.351%
2018 $1,131,249,000 26.480% $-560,684,000 -85.289% $-506,600,000 19.298% $39,125,000 693.432%
2017 $894,411,000 44.965% $-302,600,000 -101.031% $-627,742,000 -184.462% $-6,593,000 -102.968%
2016 $616,985,000 -5.355% $-150,524,000 0.681% $-220,677,000 4.909% $222,173,000 210.820%
2015 $651,897,000 -1.493% $-151,556,000 0.000% $-232,069,000 0.000% $-200,481,000 -180.524%
2014 $661,780,000 -11.183% $-151,556,000 67.407% $-232,069,000 73.211% $248,972,000 141.677%

Free Cash Flow Stats

Educational Information

Capex represents money the company invests expanding itself. Subtracting Capex from Operating Cash Flows gives Free Cash Flow values.
FCF is considered by some to be a more meaningful metric of company profitability and health.
Free Cash Flow Margin is FCF divided by sales (Revenue) in a given period of time.


Category Year Capex Capex GR Free Cash Flow FCF GR Free Cash Flow Margin FCFM GR
Average 7.858% -3.718% 4.163% -15.490%
2023 $305,000,000 17.245% $175,000,000 -87.216% 0.548% -87.665%
2022 $260,140,000 23.876% $1,368,948,000 -36.451% 4.441% -42.805%
2021 $210,000,000 -21.223% $2,154,178,000 37.717% 7.764% 18.261%
2020 $266,575,000 -9.178% $1,564,204,000 68.218% 6.565% 68.698%
2019 $293,514,000 28.846% $929,866,000 2.924% 3.892% -8.077%
2018 $227,803,000 27.949% $903,446,000 26.115% 4.234% 10.091%
2017 $178,042,000 -6.884% $716,369,000 68.249% 3.845% 56.872%
2016 $191,205,000 37.100% $425,780,000 -16.910% 2.451% -48.068%
2015 $139,464,000 -18.557% $512,433,000 4.463% 4.720% -12.914%
2014 $171,242,000 9.519% $490,538,000 -16.681% 5.420% -33.853%