Atlas Corp. Free Cash Flow 2012-2022 | ATCO

Atlas Corp. free cash flow from 2012 to 2022. Free cash flow can be defined as a measure of financial performance calculated as operating cash flow minus capital expenditures.
Atlas Corp. Annual Free Cash Flow
2022 -383.40
2021 -765.30
2020 -171.50
2019 437.50
2018 206.40
2017 21.79
2016 -0.39
2015 -376.79
2014 -181.30
2013 72.08
2012 101.58
2011 -382.08
2010 -562.05
2009
Atlas Corp. Quarterly Free Cash Flow
2022-12-31 -383.40
2022-09-30 -176.50
2022-06-30 -68.90
2022-03-31 51.70
2021-12-31 -765.30
2021-09-30 -810.60
2021-06-30 -322.50
2021-03-31 -18.40
2020-12-31 -171.50
2020-09-30 -165.30
2020-06-30 -199.50
2020-03-31 -118.10
2019-12-31 437.50
2019-09-30 628.10
2019-06-30 492.30
2019-03-31 126.60
2018-12-31 206.40
2018-09-30 49.32
2018-06-30 -95.66
2018-03-31 49.65
2017-12-31 21.79
2017-09-30 16.88
2017-06-30 42.86
2017-03-31 65.01
2016-12-31 -0.39
2016-09-30 -83.95
2016-06-30 -49.95
2016-03-31 -39.52
2015-12-31 -376.79
2015-09-30 -301.39
2015-06-30 -235.97
2015-03-31 -5.76
2014-12-31 -181.30
2014-09-30 32.61
2014-06-30 54.60
2014-03-31 -4.52
2013-12-31 72.08
2013-09-30 47.04
2013-06-30 43.55
2013-03-31 -24.95
2012-12-31 101.58
2012-09-30 13.83
2012-06-30 -22.32
2012-03-31 -36.88
2011-12-31 -382.08
2011-09-30 -443.51
2011-06-30 -202.65
2011-03-31 -54.17