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Broadcom Inc. AVGO Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$9.31B+87.5%$7.35B+33.5%$8.52B+97.0%$4.14B+321%$4.97B+134%
$148M-5.1%$142M-4.7%$142M-4.7%
$2.09B+18.1%$2.18B+70.0%$2.2B+67.0%$2.32B+67.3%$1.77B+21.6%
$71M-22.0%$82M-28.7%$94M-21.0%
$2.37B+302%$1.32B+144%$651M+361%$937M+212%$590M
$1.37B+1,153%$692M+368%$90M+167%$163M$109M+233%
$149M+124%$534M+122%-$613M-559%
$410M+109%
$809M-42.6%$1.11B-17.5%-$55M-114%
$10.49B+60.1%$8.26B+35.1%$7.7B+37.5%$7.17B+44.4%$6.56B+43.1%
$231M+60.4%$250M+150%$237M+94.3%$142M-17.4%$144M+9.1%
$23M-59.6%$114M+8.6%$336M+1,020%$99M+35.6%$57M-3.4%
$101M+405%$51M+920%$78M+85.7%
-$105M$16M
-$208M-56.4%-$115M+33.9%-$367M-178%-$133M+81.2%
$3.09B+11.0%$3.09B+11.2%$2.8B+12.6%$2.79B+13.6%$2.79B+14.0%
$600M-75.5%$7.85B$2.45B
$4.47B+49.8%$4.97B0.0%$6.96B+39.9%$749M
$3.64B-51.3%$6.75B-26.6%$0-100%
$103M-18.3%
$0-100%$0-100%$0-100%$58M-95.7%$1.77B+14.1%
-$27M-145%-$7M+80.6%-$4M-100%
-$4.83B+22.8%-$10.15B-69.7%-$1.88B+69.1%-$6.01B-$6.26B
$5.45B+3,205%-$2B-4,788%$5.46B+1,004%$1.25B$165M+108%
$668M-17.8%$668M-17.8%$668M-17.8%
$647.25M-17.9%$647.25M-17.9%$647.25M-17.9%
$647.25M-17.9%$647.25M-17.9%$647.25M-17.9%
$10.26B+60.1%$8.01B+33.2%$7.47B+36.2%$7.02B+46.6%$6.41B+44.1%
$10.26B+60.1%$8.01B+33.2%$7.47B+36.2%$7.02B+46.6%$6.41B+44.1%

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Questions, answered.

How much cash does Broadcom Inc. generate?
Broadcom Inc. (AVGO) generated $33.6B in operating cash flow over the trailing twelve months.
What is Broadcom Inc.'s free cash flow?
After $860.0M of capital expenditures, Broadcom Inc.'s free cash flow was $32.8B over the trailing twelve months, up 44.4% year over year.
Where does Broadcom Inc.'s cash flow data come from?
Every line is extracted from Broadcom Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.