FCF YoY
-36.83%
OCF YoY
-25.71%
Capex YoY
+26.40%
FCF Conversion Δ
-12.3 pp
Free cash flow bridge for CBRE Group (CBRE) — TTM through Q1 2026 vs TTM through Q1 2025
Δ Free cash flow: −$523.00M
FCF bridge breakdown for CBRE Group (CBRE) — TTM through Q1 2026 vs TTM through Q1 2025
| Driver | Contribution | % of Δ |
|---|---|---|
| Prior Free Cash Flow | $1.42B | — |
| Operating Cash Flow | −$443.00M | -84.7% |
| Capital Expenditure | −$80.00M | -15.3% |
| Free Cash Flow | $897.00M | — |
- Prior Free Cash Flow$1.42B
- Operating Cash Flow−$443.00M
- Capital Expenditure−$80.00M
- Free Cash Flow$897.00M
Identity check: drivers reconcile to ΔNI within $0.00 ✓
Want to see how cash flow is built up?Cash Flow Waterfall
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