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FY'25FY'24FY'23FY'22
-$437M-86.0%-$235M-127%$884M+197%-$910M+10.4%
$1.42B+7.0%$1.32B+5.0%$1.26B+4.6%$1.21B+7.0%
$95M+1.1%$94M-9.6%$104M+3.0%$101M+23.2%
-$17M-105%$359M+1,732%-$22M
$43M-12.2%$49M+19.5%$41M
$53M$82M
-$533M-5,430%$10M
-$39M
$8M$0$0
-$81M-68.8%-$48M-77.8%-$27M
$24M-7.7%$26M-49.0%$51M
$1.3B+21.1%$1.08B-40.6%$1.81B+82.2%$993M-17.2%
$805M-37.9%$1.3B+2.5%$1.26B+32.8%$952M+83.1%
$0$6M
-$589M-$1.26B-63.5%-$768M
$1.97B-74.3%$7.67B+25.6%$6.11B+123%$2.74B+38.5%
$102M+538%$16M
$17M0.0%$17M-37.0%$27M0.0%$27M-40.0%
-$763M-$713M+44.4%-$1.28B
$813M-22.7%$1.05B+24.3%$846M
$81M+68.8%$48M+84.6%$26M+18.2%$22M+144%
$95M+1.1%$94M-9.6%$104M+3.0%$101M+23.2%
$178M-0.6%$179M-10.5%$200M
-$11M-113%$87M-$41M+85.5%
-$17M-105%$359M+1,732%-$22M
-$39M
$24M-7.7%$26M-49.0%$51M
$8M$40M
$43M-12.2%$49M+19.5%$41M
$0$6M
$39M$0
$26M+225%$8M0.0%$8M+167%$3M
$102M+538%$16M
$1.97B-74.3%$7.67B+25.6%$6.11B+123%$2.74B
$1.58B-79.0%$7.53B+37.8%$5.46B+264%$1.5B+14.7%
$81M+68.8%$48M+84.6%$26M+18.2%$22M+144%
$1.35B+1.9%$1.32B+3.0%$1.29B
$0-100%$250M$0$0
$497M$545M
$497M$545M

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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.