NASDAQ:CMCSA | Free Cash Flow | COMCAST CORP

Free cash flow is operating cash flow less capital expenditure. FCF / net income requires positive matching-period earnings.

Available history
2007-12-31 to 2026-03-31
Data captured

Historical Free Cash Flow

DateOperating cash flowCapital expenditureFree cash flowFCF / net income
2026-03-31$6.89B$2.35B$4.54B208.83%
2025-12-31$8.84B$3.75B$5.09B234.87%
2025-03-31$8.29B$2.25B$6.04B179.02%
2024-12-31$8.08B$3.91B$4.17B87.21%
2024-03-31$7.85B$2.63B$5.22B135.29%
2023-12-31$5.92B$3.32B$2.6B79.82%
2023-03-31$7.23B$2.66B$4.56B119.04%
2022-12-31$5.88B$3.56B$2.32B76.71%
2022-09-30$2.79B
2022-06-30$2.41B
2022-03-31$7.26B$1.86B$5.4B152.18%
2021-12-31$7.69B$3.03B$4.66B152.47%
2021-09-30$2.14B
2021-06-30$2.14B
2021-03-31$7.75B$1.86B$5.89B176.99%
2020-12-31$5.04B$2.84B$2.21B65.30%
2020-09-30$2.39B
2020-06-30$2.08B
2020-03-31$5.82B$1.88B$3.94B183.65%
2019-12-31$6.24B$3.09B$3.15B99.56%
2019-09-30$2.51B
2019-06-30$2.26B
2019-03-31$7.23B$2.09B$5.14B144.64%
2018-12-31$5.79B$3.17B$2.62B104.46%
2018-09-30$2.38B
2018-06-30$2.25B
2018-03-31$5.47B$1.97B$3.5B112.28%
2017-12-31$5.4B$2.71B$2.69B17.95%
2017-09-30$2.43B
2017-06-30$2.33B
2017-03-31$5.63B$2.08B$3.55B137.85%
2016-12-31$5.7B$2.57B$3.13B137.30%
2016-09-30$2.41B
2016-06-30$2.27B
2016-03-31$5.4B$1.89B$3.51B164.67%
2015-12-31$5.67B$2.64B$3.04B153.98%
2015-09-30$2.17B
2015-06-30$1.97B
2015-03-31$5.25B$1.73B$3.52B170.91%
2014-12-31$4.64B$2.22B$2.42B125.66%
2014-09-30$1.95B
2014-06-30$1.8B
2014-03-31$4.49B$1.45B$3.04B162.37%
2013-12-31$2.48B$2B$478M24.99%
2013-09-30$1.73B
2013-06-30$1.51B
2013-03-31$4.37B$1.36B$3.01B209.32%
2012-12-31$3.62B$1.67B$1.94B128.06%
2012-09-30$1.58B
2012-06-30$1.29B
2012-03-31$4.39B$1.17B$3.22B262.99%
2011-12-31$4.14B$1.52B$2.62B203.34%
2011-09-30$1.41B
2011-06-30$1.27B
2011-03-31$3.47B$1.11B$2.36B250.48%
2010-12-31$3.45B$1.53B$1.92B188.11%
2010-09-30$1.37B
2010-06-30$1.14B
2010-03-31$2.9B$925M$1.98B228.41%
2009-12-31$2.56B$1.61B$947M99.16%
2009-09-30$1.23B
2009-06-30$1.12B
2009-03-31$2.51B$1.16B$1.35B175.13%
2008-12-31$2.86B$1.71B$1.15B277.91%

Annual Free Cash Flow

DateOperating cash flowCapital expenditureFree cash flowFCF / net income
2025-12-31$33.64B$11.75B$21.89B109.48%
2024-12-31$27.67B$12.18B$15.49B95.68%
2023-12-31$28.5B$12.24B$16.26B105.66%
2022-12-31$26.41B$10.63B$15.79B293.99%
2021-12-31$29.15B$9.17B$19.97B141.06%
2020-12-31$24.74B$9.18B$15.56B147.69%
2019-12-31$25.7B$9.95B$15.74B120.58%
2018-12-31$24.3B$9.77B$14.52B123.80%
2017-12-31$21.26B$9.55B$11.71B51.51%
2016-12-31$19.69B$9.14B$10.56B121.64%
2015-12-31$19.49B$8.5B$10.99B134.58%
2014-12-31$16.95B$7.42B$9.53B113.66%
2013-12-31$14.16B$6.6B$7.56B110.97%
2012-12-31$14.85B$5.71B$9.14B147.35%
2011-12-31$14.35B$5.31B$9.04B217.26%
2010-12-31$11.18B$4.96B$6.22B171.06%
2009-12-31$10.28B$5.12B$5.16B141.95%
2008-12-31$10.23B$5.75B$4.48B175.93%
2007-12-31$8.19B$6.16B$2.03B78.51%