PDC Energy, Inc. Free Cash Flow 2010-2023 | PDCE

PDC Energy, Inc. free cash flow from 2010 to 2023. Free cash flow can be defined as a measure of financial performance calculated as operating cash flow minus capital expenditures.
PDC Energy, Inc. Annual Free Cash Flow
2022 1,675.27
2021 968.87
2020 319.12
2019 -16.42
2018 -64.54
2017 -134.50
2016 50.86
2015 -193.19
2014 -237.45
2013 -55.86
2012 20.54
2011 -144.52
2010 12.46
2009 1.62
PDC Energy, Inc. Quarterly Free Cash Flow
2023-06-30 90.20
2023-03-31 215.88
2022-12-31 1,675.27
2022-09-30 1,294.32
2022-06-30 697.70
2022-03-31 302.05
2021-12-31 968.87
2021-09-30 603.35
2021-06-30 341.24
2021-03-31 248.31
2020-12-31 319.12
2020-09-30 203.41
2020-06-30 -19.22
2020-03-31 75.85
2019-12-31 -16.42
2019-09-30 -118.85
2019-06-30 -109.85
2019-03-31 -89.81
2018-12-31 -64.54
2018-09-30 -109.01
2018-06-30 -52.45
2018-03-31 7.19
2017-12-31 -134.50
2017-09-30 -108.62
2017-06-30 -62.97
2017-03-31 9.59
2016-12-31 50.86
2016-09-30 12.05
2016-06-30 -33.01
2016-03-31 -21.52
2015-12-31 -193.19
2015-09-30 -205.71
2015-06-30 -211.44
2015-03-31 -94.21
2014-12-31 -237.45
2014-09-30 -247.53
2014-06-30 -160.61
2014-03-31 -54.50
2013-12-31 -55.86
2013-09-30 42.43
2013-06-30 75.86
2013-03-31 -17.57
2012-12-31 20.54
2012-09-30 47.45
2012-06-30 91.88
2012-03-31 121.92
2011-12-31 -144.52
2011-09-30 -125.54
2011-06-30 -69.70
2011-03-31 -45.65
2010-12-31 12.46
2010-09-30 33.25
2010-06-30 18.26
2010-03-31 18.78
2009-12-31 1.62
2009-09-30 -24.47
2009-06-30 -43.71
2009-03-31 -37.82