Recent Annual Filings for CBRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $22,548,000,000 $31,949,000,000 $30,672,000,000 $1,122,000,000 $480,000,000 $154,000,000 $-47,000,000
2022 $20,513,389,000 $30,828,246,000 $29,170,056,000 $987,728,000 $1,629,088,000 $-1,766,093,000 $-969,460,000
2021 $22,073,491,000 $27,746,036,000 $25,336,615,000 $1,719,128,000 $2,364,178,000 $-490,631,000 $592,650,000
2020 $18,039,143,000 $23,826,195,000 $22,856,226,000 $906,105,000 $1,830,779,000 $-625,256,000 $863,938,000
2019 $16,197,196,000 $23,894,091,000 $22,532,746,000 $1,329,926,000 $1,223,380,000 $-271,949,000 $230,407,000
2018 $13,456,793,000 $21,340,088,000 $20,266,973,000 $899,021,000 $1,131,249,000 $-506,600,000 $63,965,000