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T Rowe Price Group TROW Cash Flow Statement

FY'25FY'24FY'23FY'22
$2.21B+3.4%$2.14B+16.3%$1.84B+26.6%$1.45B-53.2%
$216.9M-12.3%$247.3M-6.9%$265.6M-6.9%$285.4M+3.9%
$139.9M
$1.77B$2.49B-27.7%
$274.2M-35.2%$423.4M+37.5%$307.9M+29.6%$237.6M-0.6%
$100.1M+17.4%$85.3M+54.8%$55.1M+14.8%
$769.1M+44.2%$533.4M-13.5%$616.6M+134%$263.6M-83.8%
$171.6M+347%$38.4M+938%$3.7M+112%
$230.3M+230%-$177.5M-238%$128.2M
$1.14B+0.7%$1.14B+1.2%$1.12B+1.3%$1.11B-34.9%
$620.9M+84.1%$337.2M+32.5%$254.4M-70.1%$849.8M-25.4%
-$1.28B-36.4%-$936.6M+13.2%-$1.08B+48.1%-$2.08B+30.5%
-$1.9M+20.8%-$2.4M
$199.7M-20.2%$250.1M+10.3%$226.8M-46.0%$420.1M
$405.8M+59.7%$254.1M-0.3%$254.8M+12.9%$225.7M+10.2%
$760.4M-29.0%$1.07B+1,318%-$87.9M
$452.4M+33.0%$340.2M-26.2%$460.8M
-$93.2M-$18.8M+78.1%
-$63.1M-299%-$15.8M+72.2%-$56.8M
$171.6M+347%$38.4M+938%$3.7M+112%
$769.1M+44.2%$533.4M-13.5%$616.6M+134%$263.6M-83.8%
-$34.4M+6.3%-$36.7M+15.2%-$43.3M-23.4%-$35.1M
$543.2M-10.4%$606.2M+69.0%$358.8M
-$22.3M+33.0%-$33.3M-85.0%-$18M+50.3%-$36.2M+55.6%
$1.56B$2.32B-27.9%
$1.56B$2.32B-27.9%

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Questions, answered.

How much cash does T Rowe Price Group generate?
T Rowe Price Group (TROW) generated $2.0B in operating cash flow over the trailing twelve months.
What is T Rowe Price Group's free cash flow?
After $254.2M of capital expenditures, T Rowe Price Group's free cash flow was $1.8B over the trailing twelve months, down 19.6% year over year.
Where does T Rowe Price Group's cash flow data come from?
Every line is extracted from T Rowe Price Group'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.