CBRE Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-31
Report Filing: 2024-02-20 2023-02-27 2022-03-01 2021-02-24 2020-03-02 2019-03-01 2018-03-01 2017-03-01 2016-02-29 2015-03-02 2014-03-03 2013-03-01 2012-02-29 2011-03-01 2010-03-01 2009-03-02 2008-02-29 2007-03-01 2006-03-15 2005-03-15 2004-03-30 2003-03-25 2002-03-27
Net Income/Starting Line 986000000 1423960000 1841915000 755868000 1291450000 1065948000 697946000 584064000 558877000 513503000 348795000 304787000 290325000 156009000 -27638000 -1012066000 390505000 318571000 217341000 64725000 -34704000 18727000 17426000
Cash From Operating Activities 534000000 1629088000 2364178000 1830779000 1223380000 1131249000 710505000 450315000 651897000 661780000 745108000 291081000 361219000 616587000 213645000 -130373000 648210000 370481000 359656000 182175000 63941000 64882000 95391000
Depreciation and Amortization 647200000 613088000 525871000 501728000 439224000 451988000 406114000 366927000 314096000 265101000 191270000 170905000 116930000 108962000 99473000 114571000 121652000 87690000 52119000 69544000 92622000 24614000 12198000
Deferred Income Tax -1368400000 0 -303264000 145462000 98966000 -11401000 -8989000 -9642000 -14935000 -28469000 -11591000 3421000 81128000 1228000 5702000 -62163000 5322000 -23055000 -5659000 15803000 -12750000 5158000 -1948000
Stock Based Compensation 96000000 160000000 185000000 60391000 127738000 128171000 93087000 63484000 74709000 59757000 48429000 51712000 44327000 46801000 37925000 0 0 0 0 0 0 0 0
Other Non-Cash Items 1173200000 741229000 -40893000 -483846000 130166000 -640901000 -25520000 -347775000 -268785000 -174302000 -28535000 -96408000 -148752000 -19741000 94105000 1567106000 149238000 -28644000 27152000 -19948000 33621000 1550000 16416000
Changes in Working Capital -1000000000 -1309514000 155615000 851176000 -864164000 137444000 -452133000 -206743000 -12065000 26190000 196740000 -143336000 -22739000 323328000 4078000 -700302000 -54053000 -25116000 68703000 27994000 -28563000 -1092000 7742000
Accounts Receivable -81000000 -503365000 -872472000 -105491000 -1176076000 -773361000 -900663000 -331101000 -316516000 -401681000 -76946000 -156409000 -55527000 -180129000 0 0 0 0 0 0 0 0 0
Inventory 81000000 94599000 -54658000 -105619000 34776000 0 8399000 -2245000 -16003000 47276000 168133000 -759000 84731000 26457000 0 0 0 0 0 0 0 0 0
Accounts Payable 22000000 64102000 104749000 105491000 306677000 273782000 171346000 2235000 177567000 31526000 40200000 43475000 -62850000 45145000 -11306000 0 -53201000 71214000 0 -10842000 14448000 3678000 -3201000
Deferred Revenue -1022000000 -964850000 977996000 956795000 -29541000 -136338000 268785000 124368000 142887000 349069000 65353000 -29643000 10907000 431855000 15384000 -700302000 -852000 -96330000 68703000 38836000 -43011000 -4770000 10943000
Other Working Capital 0 0 0 0 0 773361000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -729000000 -832455000 -1280897000 -341585000 -721024000 -560684000 -141415000 -7439000 -1618959000 -151556000 -464994000 -197671000 -480255000 -62503000 -119362000 -419009000 -284421000 -2061933000 -115509000 -23319000 -284795000 -24130000 -265450000
Investments in Property Plant and Equipment -305000000 -260140000 -209851000 -266575000 -293514000 -227803000 -178042000 -191205000 -139464000 -171242000 -156358000 -150232000 -147980000 -68464000 -28200000 -184837000 -282557000 -55298000 -102579000 -52953000 -26961000 -14266000 -50732000
Payments for Acquisitions -197000000 -558746000 -1336034000 -174257000 -461873000 -385375000 -211133000 -108927000 -1653977000 -206234000 -553741000 -118018000 -630685000 -70390000 -30670000 -239926000 -184956000 -1784913000 -75694000 -25142000 -263683000 -14811000 -6561000
Purchases of Securities -298000000 -100720000 209851000 -11113000 -20870000 -44762000 -34864000 -37661000 -40287000 -89885000 -65111000 -203126000 -66936000 -54061000 -74058000 0 -97830000 -34389000 0 0 0 -1012000 -1081000
Proceeds from Sales and Maturities of Securities 77000000 30360000 212722000 13741000 20294000 22106000 31377000 35051000 42572000 88214000 69688000 190220000 231678000 76504000 3408000 0 320047000 42430000 0 0 0 14811000 6561000
Other Investing Activities -6000000 56791000 -157585000 96619000 34939000 75150000 251247000 295303000 172197000 227591000 240528000 83485000 133668000 53908000 10158000 5754000 -39125000 -229763000 62764000 54776000 5849000 -8852000 -213637000
Cash From Financing Activities 148000000 -1766093000 -490631000 -625256000 -271949000 -506600000 -603736000 -199643000 789548000 -232069000 -866281000 -100689000 711325000 -784222000 476768000 373959000 -277253000 1479123000 -47272000 -67366000 303664000 -17838000 213831000
Debt Repayment -1141000000 -1682723000 -409461000 -1360027000 -4019687000 -4573353000 -2285432000 -3083296000 -3308262000 -2496853000 -2842239000 -158757000 -1318542000 -1906062000 -1302260000 0 -348179000 -917324000 0 -186750000 -225850000 -238000000 -524045000
Common Stock Issued 0 0 0 0 0 0 0 915000 7525000 0 0 0 0 0 440173000 471833000 11867000 15572000 11450000 144643000 120980000 180000 92156000
Common Stock Repurchased -665000000 -1888250000 -407467000 -93863000 -163563000 -190420000 -29549000 -27426000 -24523000 -16685000 -16628000 0 0 0 1332029000 0 -635000000 0 0 0 0 0 -100000
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -13496000 0 0 0 0 0 0 0 0
Other Financing Activities 1954000000 1804880000 326297000 828634000 3911301000 4257173000 1711245000 2911079000 4122333000 2281469000 1992586000 58068000 2029867000 1121840000 20322000 -97874000 1214642000 2380875000 -58722000 -25259000 408534000 219982000 1220199000
Effect of Forex Changes on Cash 13000000 -165472000 -92116000 81564000 -606000 -24840000 23844000 -21060000 -22967000 -29183000 -11218000 3394000 -5681000 -4845000 11683000 -8628000 11862000 7516000 -4482000 1525000 1370000 -663000 16000
Net Change in Cash -33849000 -1134932000 500534000 945502000 229801000 39125000 -10802000 222173000 -200481000 248972000 -597385000 -3885000 586608000 -234983000 582734000 -184051000 98398000 -204813000 192393000 93015000 84180000 22251000 43788000
Cash at Beginning of Period 1404849000 2539781000 2039247000 1093745000 863944000 824819000 762576000 540403000 740884000 491912000 1089297000 1093182000 506574000 741557000 158823000 342874000 244476000 449289000 256896000 163881000 79701000 57450000 13662000
Cash at End of Period 1371000000 1404849000 2539781000 2039247000 1093745000 863944000 751774000 762576000 540403000 740884000 491912000 1089297000 1093182000 506574000 741557000 158823000 342874000 244476000 449289000 256896000 163881000 79701000 57450000
Free Cash Flow 229000000 1368948000 2154327000 1564204000 929866000 903446000 532463000 259110000 512433000 490538000 588750000 140849000 213239000 548123000 185445000 -315210000 365653000 315183000 257077000 129222000 36980000 50616000 44659000
Operating Cash Flow 534000000 1629088000 2364178000 1830779000 1223380000 1131249000 710505000 450315000 651897000 661780000 745108000 291081000 361219000 616587000 213645000 -130373000 648210000 370481000 359656000 182175000 63941000 64882000 95391000
Capital Expenditure -305000000 -260140000 -209851000 -266575000 -293514000 -227803000 -178042000 -191205000 -139464000 -171242000 -156358000 -150232000 -147980000 -68464000 -28200000 -184837000 -282557000 -55298000 -102579000 -52953000 -26961000 -14266000 -50732000

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