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Free Cash Flow

(BAC)


Year
A/P
2013
Actual
2014
Actual
2015
Actual
2016
Actual
2017
Actual
2018
Actual
2019
Projected
2020
Projected
2021
Projected
2022
Projected
2023
Projected
Revenue 88,942.0085,891.2982,962.4083,700.7687,350.1191,245.9391,766.0392,289.1092,815.1593,344.1993,876.25
Revenue (%)
Operating Cash Flow 92,819.8730,792.0328,398.0317,275.849,861.8339,518.6138,183.8538,401.4938,620.3838,840.5239,061.91
Operating Cash Flow (%)
Capital Expenditure -----------
Capital Expenditure (%)
Free Cash Flow 92,819.8730,792.0328,398.0317,275.849,861.8339,518.61-----

FCF Unlevered from cash flow statement