US Stock MarketDetailed Quotes

CBRE CBRE Group

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  • 130.180
  • -0.790-0.60%
Close Nov 1 16:00 ET
  • 130.180
  • 0.0000.00%
Post 20:01 ET
39.84BMarket Cap42.13P/E (TTM)

CBRE Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
49.61%573M
2,709.09%287M
33.96%-492M
-70.53%480M
4.77%853M
-49.20%383M
-102.42%-11M
-89.32%-745M
-31.09%1.63B
-30.05%814.19M
Net income from continuing operations
21.89%245M
-31.07%142M
18.40%148M
-27.88%1.03B
474.69%495M
-55.50%201M
-57.95%206M
-68.46%125M
-22.69%1.42B
-87.57%86.13M
Operating gains losses
50.00%-3M
260.00%18M
128.17%40M
-58.29%-315M
-202.40%-172M
97.42%-6M
104.60%5M
-442.38%-142M
76.53%-199M
146.45%167.97M
Depreciation and amortization
19.46%178M
4.55%161M
-2.47%158M
1.47%622M
-1.55%157M
4.83%149M
-5.15%154M
8.70%162M
16.54%613M
-1.73%159.47M
Other non cash items
-94.44%-70M
81.43%-13M
-40.48%-59M
56.15%-114M
128.03%34M
-11.49%-36M
-321.90%-70M
69.56%-42M
-28.71%-260M
-693.39%-121.28M
Change In working capital
471.43%160M
77.84%-74M
20.42%-834M
-93.03%-1.11B
-43.90%246M
-91.39%28M
8.65%-334M
-7.83%-1.05B
-281.07%-574M
-4.97%438.48M
-Change in receivables
-93.65%-244M
-378.57%-134M
434.25%244M
-70.97%-860M
-395.92%-633M
-194.04%-126M
92.07%-28M
53.22%-73M
34.33%-503M
75.01%-127.64M
-Change in payables and accrued expense
12.27%933M
182.52%170M
-12.75%-1.04B
-65.63%22M
60.37%315M
1,244.40%831M
-139.87%-206M
-747.22%-918M
-39.05%64M
-7.68%196.42M
-Change in other working capital
21.86%-529M
-10.00%-110M
24.56%-43M
-100.00%-270M
52.56%564M
-623.69%-677M
-236.01%-100M
91.94%-57M
-113.80%-135M
-51.32%369.69M
Cash from discontinued investing activities
Operating cash flow
49.61%573M
2,709.09%287M
33.96%-492M
-70.53%480M
4.77%853M
-49.20%383M
-102.42%-11M
-89.32%-745M
-31.09%1.63B
-30.05%814.19M
Investing cash flow
Cash flow from continuing investing activities
-11.98%-187M
-59.61%-407M
-682.61%-900M
18.15%-681M
36.91%-144M
39.23%-167M
-9.29%-255M
-20.27%-115M
35.05%-832M
68.54%-228.25M
Capital expenditure reported
-3.95%-79M
10.67%-67M
-13.33%-68M
-17.31%-305M
5.05%-94M
-18.24%-76M
-37.20%-75M
-42.67%-60M
-23.81%-260M
-11.75%-99M
Net business purchase and sale
22.45%-38M
-105.92%-313M
-995.95%-811M
40.86%-330M
68.70%-55M
57.90%-49M
25.74%-152M
-20.96%-74M
58.23%-558M
79.65%-175.74M
Net investment purchase and sale
----
----
----
--0
----
----
----
----
-147.42%-101M
-100.27%-568K
Net other investing changes
-1,200.00%-13M
208.82%37M
300.00%16M
---6M
--25M
-163.53%-1M
-778.55%-34M
189.15%4M
----
----
Cash from discontinued investing activities
Investing cash flow
-11.98%-187M
-59.61%-407M
-682.61%-900M
18.15%-681M
36.91%-144M
39.23%-167M
-9.29%-255M
-20.27%-115M
35.05%-832M
68.54%-228.25M
Financing cash flow
Cash flow from continuing financing activities
-86.39%-315M
-84.08%50M
56.64%1.19B
108.72%154M
-35.92%-752M
62.63%-169M
156.94%314M
464.10%761M
-260.41%-1.77B
27.66%-553.28M
Net issuance payments of debt
-151.54%-218M
-62.75%130M
27.74%1.32B
503.70%1.14B
-579.74%-662M
1,957.54%423M
272.27%349M
378.61%1.03B
0.53%189M
73.06%-97.39M
Net common stock issuance
87.79%-63M
---47M
--0
64.05%-665M
95.74%-19M
-25.66%-516M
--0
64.66%-130M
-401.36%-1.85B
-146.58%-445.61M
Net other financing activities
55.26%-34M
5.71%-33M
10.71%-125M
-206.67%-322M
-590.46%-71M
-303.65%-76M
-81.08%-35M
-147.52%-140M
66.02%-105M
95.38%-10.28M
Cash from discontinued financing activities
Financing cash flow
-86.39%-315M
-84.08%50M
56.64%1.19B
108.72%154M
-35.92%-752M
62.63%-169M
156.94%314M
464.10%761M
-260.41%-1.77B
27.66%-553.28M
Net cash flow
Beginning cash position
-23.88%1.03B
-14.62%1.13B
-2.42%1.37B
-44.69%1.41B
10.62%1.35B
1.98%1.36B
-26.37%1.32B
-44.68%1.41B
24.57%2.54B
-57.48%1.22B
Current changes in cash
51.06%71M
-245.83%-70M
-102.02%-200M
95.15%-47M
-231.66%-43M
74.97%47M
114.53%48M
85.82%-99M
-263.41%-969M
110.00%32.66M
Effect of exchange rate changes
203.92%53M
-118.18%-24M
-414.29%-44M
107.83%13M
-59.08%61M
62.09%-51M
91.64%-11M
128.56%14M
-80.43%-166M
1,705.31%149.07M
End cash Position
-14.49%1.16B
-23.88%1.03B
-14.62%1.13B
-2.42%1.37B
-2.42%1.37B
10.62%1.35B
1.98%1.36B
-26.37%1.32B
-44.69%1.41B
-44.69%1.41B
Free cash flow
60.91%494M
355.81%220M
30.43%-560M
-87.22%175M
6.13%759M
-55.48%307M
-121.51%-86M
-84.82%-805M
-36.44%1.37B
-33.49%715.19M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 49.61%573M2,709.09%287M33.96%-492M-70.53%480M4.77%853M-49.20%383M-102.42%-11M-89.32%-745M-31.09%1.63B-30.05%814.19M
Net income from continuing operations 21.89%245M-31.07%142M18.40%148M-27.88%1.03B474.69%495M-55.50%201M-57.95%206M-68.46%125M-22.69%1.42B-87.57%86.13M
Operating gains losses 50.00%-3M260.00%18M128.17%40M-58.29%-315M-202.40%-172M97.42%-6M104.60%5M-442.38%-142M76.53%-199M146.45%167.97M
Depreciation and amortization 19.46%178M4.55%161M-2.47%158M1.47%622M-1.55%157M4.83%149M-5.15%154M8.70%162M16.54%613M-1.73%159.47M
Other non cash items -94.44%-70M81.43%-13M-40.48%-59M56.15%-114M128.03%34M-11.49%-36M-321.90%-70M69.56%-42M-28.71%-260M-693.39%-121.28M
Change In working capital 471.43%160M77.84%-74M20.42%-834M-93.03%-1.11B-43.90%246M-91.39%28M8.65%-334M-7.83%-1.05B-281.07%-574M-4.97%438.48M
-Change in receivables -93.65%-244M-378.57%-134M434.25%244M-70.97%-860M-395.92%-633M-194.04%-126M92.07%-28M53.22%-73M34.33%-503M75.01%-127.64M
-Change in payables and accrued expense 12.27%933M182.52%170M-12.75%-1.04B-65.63%22M60.37%315M1,244.40%831M-139.87%-206M-747.22%-918M-39.05%64M-7.68%196.42M
-Change in other working capital 21.86%-529M-10.00%-110M24.56%-43M-100.00%-270M52.56%564M-623.69%-677M-236.01%-100M91.94%-57M-113.80%-135M-51.32%369.69M
Cash from discontinued investing activities
Operating cash flow 49.61%573M2,709.09%287M33.96%-492M-70.53%480M4.77%853M-49.20%383M-102.42%-11M-89.32%-745M-31.09%1.63B-30.05%814.19M
Investing cash flow
Cash flow from continuing investing activities -11.98%-187M-59.61%-407M-682.61%-900M18.15%-681M36.91%-144M39.23%-167M-9.29%-255M-20.27%-115M35.05%-832M68.54%-228.25M
Capital expenditure reported -3.95%-79M10.67%-67M-13.33%-68M-17.31%-305M5.05%-94M-18.24%-76M-37.20%-75M-42.67%-60M-23.81%-260M-11.75%-99M
Net business purchase and sale 22.45%-38M-105.92%-313M-995.95%-811M40.86%-330M68.70%-55M57.90%-49M25.74%-152M-20.96%-74M58.23%-558M79.65%-175.74M
Net investment purchase and sale --------------0-----------------147.42%-101M-100.27%-568K
Net other investing changes -1,200.00%-13M208.82%37M300.00%16M---6M--25M-163.53%-1M-778.55%-34M189.15%4M--------
Cash from discontinued investing activities
Investing cash flow -11.98%-187M-59.61%-407M-682.61%-900M18.15%-681M36.91%-144M39.23%-167M-9.29%-255M-20.27%-115M35.05%-832M68.54%-228.25M
Financing cash flow
Cash flow from continuing financing activities -86.39%-315M-84.08%50M56.64%1.19B108.72%154M-35.92%-752M62.63%-169M156.94%314M464.10%761M-260.41%-1.77B27.66%-553.28M
Net issuance payments of debt -151.54%-218M-62.75%130M27.74%1.32B503.70%1.14B-579.74%-662M1,957.54%423M272.27%349M378.61%1.03B0.53%189M73.06%-97.39M
Net common stock issuance 87.79%-63M---47M--064.05%-665M95.74%-19M-25.66%-516M--064.66%-130M-401.36%-1.85B-146.58%-445.61M
Net other financing activities 55.26%-34M5.71%-33M10.71%-125M-206.67%-322M-590.46%-71M-303.65%-76M-81.08%-35M-147.52%-140M66.02%-105M95.38%-10.28M
Cash from discontinued financing activities
Financing cash flow -86.39%-315M-84.08%50M56.64%1.19B108.72%154M-35.92%-752M62.63%-169M156.94%314M464.10%761M-260.41%-1.77B27.66%-553.28M
Net cash flow
Beginning cash position -23.88%1.03B-14.62%1.13B-2.42%1.37B-44.69%1.41B10.62%1.35B1.98%1.36B-26.37%1.32B-44.68%1.41B24.57%2.54B-57.48%1.22B
Current changes in cash 51.06%71M-245.83%-70M-102.02%-200M95.15%-47M-231.66%-43M74.97%47M114.53%48M85.82%-99M-263.41%-969M110.00%32.66M
Effect of exchange rate changes 203.92%53M-118.18%-24M-414.29%-44M107.83%13M-59.08%61M62.09%-51M91.64%-11M128.56%14M-80.43%-166M1,705.31%149.07M
End cash Position -14.49%1.16B-23.88%1.03B-14.62%1.13B-2.42%1.37B-2.42%1.37B10.62%1.35B1.98%1.36B-26.37%1.32B-44.69%1.41B-44.69%1.41B
Free cash flow 60.91%494M355.81%220M30.43%-560M-87.22%175M6.13%759M-55.48%307M-121.51%-86M-84.82%-805M-36.44%1.37B-33.49%715.19M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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