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Free Cash Flow for CBRE Group (CBRE)

Free Cash Flow for CBRE Group (CBRE): headline value $897.00M · YoY -20.0%. Annual and quarterly series, chart, and tables are below.

Headline figure above is from the reporting period ending (reported ). Chart and table below cover the full reported history back to .

Latest period

$897.00M

YoY change

-20.0%

5Y CAGR

-6.3%

Peak year (2021)

$2.23B

Latest annual

$1.19B

Free Cash Flow history chart for CBRE Group (CBRE) from 2001 to 2025

Free Cash Flow history table for CBRE Group (CBRE) from 2001 to 2025

Fiscal yearPeriod endedReportedFree Cash FlowYoY
2025$1.19B-20.0%
2024$1.49B+551.5%
2023$229.00M-84.3%
2022$1.46B-34.7%
2021$2.23B+34.9%
2020$1.65B+71.6%
2019$963.15M+0.0%
2018$963.07M+24.7%
2017$772.03M+65.3%
2016$466.94M-33.7%
2015$704.05M+19.4%
2014$589.77M-12.7%
2013$675.29M+211.4%
2012$216.87M-9.6%
2011$239.83M-58.0%
2010$570.97M+193.3%
2009$194.68M-224.5%
2008-$156.40M-153.4%
2007$293.02M-7.0%
2006$315.18M-2.1%
2005$321.90M+149.1%
2004$129.22M+249.4%
2003$36.98M-26.9%
2002$50.62M+13.3%
2001$44.66M

Free Cash Flow values are taken from CBRE Group's reported cash flow statements (10-Q quarterly and 10-K annual filings with the U.S. Securities and Exchange Commission). Each row shows the period end date and the date the filing was reported; YoY compares each figure to the same period one year earlier. Amounts are in USD as filed.

Analysis

2025's annual free cash flow for CBRE Group (CBRE) came in at $1.19B – declined 20.0% year-over-year.

Across 2020–2025 (5 years), CBRE Group free cash flow produced a CAGR of -6.3% – with a net decline across the window.

CBRE Group free cash flow peaked at $2.23B in 2021; the latest annual figure is $1.19B in 2025 (46.5% below peak).

2021 marks the peak free cash flow at $2.23B, with the historical low of -$156.40M recorded in 2008.

CBRE Group (CBRE) sits 8th of 8 Real Estate peers we track on this metric, against a peer median of $3.23B.

CBRE Group Free Cash Flow by Year

CBRE Group Free Cash Flow 2025: $1.19B

CBRE Group free cash flow in 2025 was $1.19B, declined 20.0% below 2024.

CBRE Group Free Cash Flow 2024: $1.49B

CBRE Group free cash flow in 2024 was $1.49B, surged 551.5% from 2023.

CBRE Group Free Cash Flow 2023: $229.00M

CBRE Group free cash flow in 2023 was $229.00M, plunged 84.3% below 2022.

CBRE Group Free Cash Flow 2022: $1.46B

CBRE Group free cash flow in 2022 was $1.46B, plunged 34.7% below 2021.

CBRE Group Free Cash Flow 2021: $2.23B

CBRE Group free cash flow in 2021 was $2.23B.

See more financial history for CBRE Group (CBRE).

Sector peers — Free Cash Flow

Companies in the same sector as CBRE Group, ranked by their latest free cash flow.

CompanyFree Cash FlowSector
Prologis, Inc. (PLD)$5.01BReal Estate
Realty Income Corporation (O)$3.86BReal Estate
American Tower Corporation (AMT)$3.78BReal Estate
Simon Property Group, Inc. (SPG)$3.57BReal Estate
Public Storage (PSA)$2.90BReal Estate
Welltower Inc. (WELL)$2.85BReal Estate
Digital Realty Trust, Inc. (DLR)$2.41BReal Estate
Equinix, Inc. (EQIX)-$400.00MReal Estate

Frequently asked questions

What is CBRE Group's free cash flow?

Latest reported free cash flow for CBRE Group (CBRE) is $897.00M (period ending March 31, 2026).

How has CBRE Group free cash flow changed year-over-year?

CBRE Group (CBRE) free cash flow changed -20.0% year-over-year on the latest annual filing.

What is the long-term growth rate of CBRE Group free cash flow?

CBRE Group (CBRE) free cash flow compound annual growth rate is -6.3% over the most recent 5 years available.

When did CBRE Group free cash flow hit its highest annual value?

CBRE Group free cash flow reached its highest annual value of $2.23B in 2021.

What was CBRE Group free cash flow in 2024?

CBRE Group (CBRE) free cash flow in 2024 was $1.49B.

What was CBRE Group free cash flow in 2025?

CBRE Group (CBRE) free cash flow in 2025 was $1.19B.

Metrics overview

Pick a metric for charts, filings and peers — each row shows the latest TTM or most-recent-quarter value.