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Palantir Technologies Inc. PLTR Free cash flow yield

Free cash flow yield at other companies

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11%+5.8pp
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2.5%+1.0pp
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5.7%+0.2pp
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-31.3%+1,893pp

Other financials

Income statement

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Revenue$1.6B+84.7%
Gross profit$1.4B+99.3%
Operating income$754.0M+328%
Net income$870.5M+307%
EPS (diluted)$0.34+325%

Balance sheet

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Cash & equivalents$2.3B+129%
Total debt$212.0M-13.3%
Total equity$8.4B+55.8%
Total assets$10.2B+51.4%

Cash flow

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Operating cash flow$899.2M+190%
CapEx$7.4M+19.7%
Free cash flow$891.8M+193%

Valuation

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Market cap$313.16B+76.7%
Enterprise value$311.05B+76.4%
P/E137.3×-173×
P/S59.9×+3.1×

Profitability

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Gross margin84.1%+4.1pp
Operating margin38.1%+25.1pp
Net margin43.7%+25.4pp

Returns & leverage

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Return on equity32.9%+20.5pp
Debt / equity0.0×
Current ratio6.9×+0.4×

Where this comes from

Calculated from Palantir Technologies Inc.’s reported figures.

Based on trailing twelve months.

The official record: Palantir Technologies Inc.’s 10-Q, filed May 5, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Palantir Technologies Inc.'s free cash flow yield?
Palantir Technologies Inc. (PLTR) reported free cash flow yield of 0.8% in Q1 2026.
How has Palantir Technologies Inc.'s free cash flow yield changed year-over-year?
Palantir Technologies Inc.'s free cash flow yield increased by 15.4% year-over-year, from 0.7% to 0.8%.
What is the long-term trend for Palantir Technologies Inc.'s free cash flow yield?
Over 3 years (2022 to 2025), Palantir Technologies Inc.'s free cash flow yield has grown at a -23.8% compound annual growth rate (CAGR), from 4.7% to 2.1%.
What does free cash flow yield mean?
The spendable cash the business throws off each year as a percentage of its market price.
How do you interpret free cash flow yield?
Higher yield can mean better value — you pay less for each dollar of cash generated. A useful sanity check against earnings-based multiples, which non-cash items can distort.
How does free cash flow yield compare across companies?
Comparable across cash-generative companies; less meaningful for firms in heavy-investment phases with temporarily negative FCF.