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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$83M+64.7%-$235M-503%-$39M+40.0%-$65M+33.7%-$98M
$347M+0.9%$344M-2.3%$352M-3.3%$364M+2.0%$357M+3.5%
$24M+4.3%$23M+4.5%$22M-8.3%$24M-7.7%$26M+23.8%
$10M+267%-$6M+25.0%-$8M-300%-$2M-100%-$1M-100%
$11M-8.3%$12M+50.0%$8M-20.0%$10M-23.1%$13M-38.1%
-$29M-147%$62M+235%-$46M-181%$57M+385%-$20M
-$135M-$100M-157%$174M+254%-$113M-253%
$46M$2M$49M
-$7M-178%$9M$0+100%-$2M-300%$1M+103%
-$3M+85.0%-$20M-567%-$3M+94.8%-$58M$0+100%
-$2M$3M-$1M
$6M-25.0%$8M+100%$4M-33.3%$6M0.0%$6M-45.5%
$204M-32.9%$304M-4.4%$318M-31.2%$462M+112%$218M-29.4%
$168M+7.0%$157M-19.5%$195M-15.2%$230M+3.1%$223M-20.1%
-$2M$3M+50.0%$2M-66.7%$6M
$19M$0
-$189M-21.9%-$155M$0+100%-$228M-10.7%-$206M
$463M+17.8%$393M-59.2%$964M+216%$305M-0.7%$307M-83.3%
$16M-38.5%$26M-43.5%$46M+130%$20M+100%$10M
$12M+1,100%$1M$0-100%$1M-93.3%$15M+1,400%
-$25M+76.0%-$104M+78.5%-$483M-208%-$157M-726%-$19M+96.2%
-$10M-$147M-291%$77M+1,200%-$7M
$212M+31.7%$161M-34.8%$247M+26.7%$195M-7.1%$210M+21.4%
$3M-85.0%$20M+567%$3M-94.8%$58M$0-100%
$24M+4.3%$23M+4.5%$22M-8.3%$24M-7.7%$26M+23.8%
$43M0.0%$43M-6.5%$46M+2.2%$45M+2.3%$44M-2.2%
$12M+220%-$10M+60.0%-$25M-292%$13M+18.2%$11M-42.1%
$10M+267%-$6M+25.0%-$8M-300%-$2M-100%-$1M-100%
-$2M$3M-$1M
$46M$2M$49M
$6M-25.0%$8M+100%$4M-33.3%$6M0.0%$6M-45.5%
-$7M-178%$9M$0+100%-$2M-300%$1M
$11M-8.3%$12M+50.0%$8M-20.0%$10M-23.1%$13M-38.1%
$42M$0
-$2M$3M+50.0%$2M-66.7%$6M
$0$23M
$19M$0
$9M0.0%$9M0.0%$9M+50.0%$6M+200%$2M0.0%
$16M-38.5%$26M-43.5%$46M+130%$20M+100%$10M
$463M+17.8%$393M-59.2%$964M+216%$305M-0.7%$307M-83.3%
$475M+26.7%$375M-39.0%$615M+124%$275M-12.7%$315M-78.0%
$203M$0
$3M-85.0%$20M+567%$3M-94.8%$58M$0-100%
$346M+1.8%$340M+0.9%$337M+0.3%$336M0.0%$336M+0.6%
$0$0$0$0-100%
$36M-75.5%$147M+19.5%$123M-47.0%$232M+4,740%-$5M
$36M-75.5%$147M+19.5%$123M-47.0%$232M+4,740%-$5M

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Questions, answered.

How much cash does Caesars Entertainment, Inc. generate?
Caesars Entertainment, Inc. (CZR) generated $1.3B in operating cash flow over the trailing twelve months.
What is Caesars Entertainment, Inc.'s free cash flow?
After $750.0M of capital expenditures, Caesars Entertainment, Inc.'s free cash flow was $538.0M over the trailing twelve months, up 322.3% year over year.
Where does Caesars Entertainment, Inc.'s cash flow data come from?
Every line is extracted from Caesars Entertainment, 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.