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Broadcom Inc. AVGO Cash Flow Statement

FY'25FY'24FY'23FY'22
$23.13B+292%$5.9B-58.1%$14.08B+22.5%$11.5B+70.7%
$574M-3.2%$593M+18.1%$502M-5.1%$529M-1.9%
$7.57B+31.8%$5.74B+164%$2.17B+41.6%$1.53B-10.0%
$344M-19.4%$427M+223%$132M+2.3%$129M+34.4%
$2.72B
$510M$627M+113%
$209M
$136M-26.9%
$1.84B-65.5%$5.32B
$27.54B+37.9%$19.96B+10.4%$18.09B+8.1%$16.74B+21.6%
$623M+13.7%$548M+21.2%$452M+6.6%$424M-4.3%
$597M+241%$175M-49.4%$346M
$248M+59.0%$156M-31.6%$228M+14.0%$200M
$66M+2,300%-$3M-138%
-$689M
$11.14B+13.5%$9.81B+28.4%$7.65B+8.7%$7.03B+13.2%
$5.82B-16.8%$7B
$15.67B-60.8%$39.95B$0
$18.48B-5.8%$19.61B$2.36B-79.5%
$114M-32.9%
$3.86B-26.0%$5.22B+180%$1.86B+27.9%$1.46B+12.0%
-$84M-33.3%-$63M-425%-$12M+29.4%-$17M+59.5%
-$20.13B-$15.62B+1.2%-$15.82B-76.2%
$6.83B+237%-$4.98B-381%$1.77B+601%$253M-94.5%
$2.67B-17.8%$3.25B+116%$1.5B+8.4%$1.39B-11.4%
$2.59B-17.9%$3.16B+77.0%$1.78B+96.3%$908M+17.2%
$2.59B-17.9%$3.16B+77.0%$1.78B+96.3%$908M+17.2%
$26.91B+38.6%$19.41B+10.1%$17.63B+8.1%$16.31B+22.5%
$26.91B+38.6%$19.41B+10.1%$17.63B+8.1%$16.31B+22.5%

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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.