Credit Suisse Group Free Cash Flow 2014-2023 | CS

Credit Suisse Group free cash flow from 2014 to 2023. Free cash flow can be defined as a measure of financial performance calculated as operating cash flow minus capital expenditures.
Credit Suisse Group Annual Free Cash Flow
2022 12,975.10
2021 38,864.62
2020 -8,166.96
2019 -19,814.96
2018 11,956.97
2017 -9,765.63
2016 26,058.69
2015 14,547.95
2014 -20,436.05
2013 22,863.81
2012 -14,822.02
2011
2010
2009
Credit Suisse Group Quarterly Free Cash Flow
2022-12-31 12,975.10
2022-09-30 4,411.60
2022-06-30 -4,088.55
2022-03-31 5,064.72
2021-12-31 38,864.62
2021-09-30 30,564.83
2021-06-30 22,014.37
2021-03-31 -4,075.61
2020-12-31 -8,166.96
2020-09-30 -867.67
2020-06-30 -3,201.30
2020-03-31 -9,735.11
2019-12-31 -19,814.96
2019-09-30 -12,788.51
2019-06-30 -3,976.23
2019-03-31 -7,962.56
2018-12-31 11,956.97
2018-09-30 22,079.40
2018-06-30 11,480.67
2018-03-31 2,118.64
2017-12-31 -9,765.63
2017-09-30 4,266.33
2017-06-30 -2,745.91
2017-03-31 -7,283.22
2016-12-31 26,058.69
2016-09-30 2,310.35
2016-06-30 9,589.73
2016-03-31 3,762.53
2015-12-31 14,547.95
2015-09-30 6,634.10
2015-06-30 2,460.98
2015-03-31 -10,625.16
2014-12-31 -20,436.05
2014-09-30 -17,057.74
2014-06-30 -20,286.23
2014-03-31 -14,158.64
2013-12-31 22,863.81
2013-09-30 25,808.01
2013-06-30 15,051.36
2013-03-31 -6,970.96