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114 EUR
3
2.56%
Last update Apr 2, 8:04 AM CEST
Main market
Day range
114
114
Previous close
117
Open
114
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CBRE Group Inc.
114.00
3
2.56%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2025 2024 2023 2022
Operating activities 2.1B 978.6M 800M 628.1M
Net income 1.3B 873.2M 1.0B 1.4B
Depreciation 729M 568.1M 622M 613M
Deferred taxes -269M
StockBased compensation 120M 123.1M 96M 160M
Other non cash items 268M -270.6M -114M -260M
Accounts receivable -882M -482.1M -860M -503M
Accounts payable 570M 64.1M
Other assets liabilities 245M 166.9M 29M -870M
Investing activities -1.4B -964.3M -336M -659.0M
Capital expenditures
Net intangibles
Net acquisitions -1.5B -1.0B -330M -558M
Purchase of investments 0 -101M
Sale of investments 0 0
Other investing activity 155M 49.7M -6M -19K
Financing activities 664M -3.6B -4.0B -3.4B
Long term debt issuance 2.4B 564.7M 1.8B 39M
Long term debt payments -802M -3.4B -4.7B -1.7B
Short term debt issuance 545M 111.3M -178M 178M
Common stock issuance
Common stock repurchase -968M -528.5M -665M -1.9B
Common dividends
Other financing charges -521M -326.2M -322M -105M
End cash position 2.0B 1.0B 1.4B 1.4B
Income tax paid 599M 393.6M 467M 604M
Interest paid 448M 333.8M 191M 89M
Free cash flow 1.2B 1.2B 175M 1.4B
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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