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Alphabet Inc. (GOOGL) Operating Cash Flow CAGR:N/A(TTM)

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The operating cash flow cagr for Alphabet Inc. (GOOGL) is N/A over the latest trailing 12-month period. Operating cash flow CAGR uses precomputed cash-flow statement history (cash from operations, before capital expenditures).

The operating cash flow cagr for Alphabet Inc. (GOOGL) stock is N/A over the past 12 months. The 3 year average growth rate is 24.70% and the 5 year cagr is 19.04%. Operating cash flow CAGR measures the compound annual growth rate of the cash Alphabet Inc. generates from its core business operations, before capital expenditures, computed from rolling-twelve-month cash-flow statement history. The 1-year (TTM) figure is omitted: a one-year rate off a single quarter's base is volatile; the multi-year figures are the reliable read.

GOOGL Operating Cash Flow CAGR Chart

Alphabet Inc. (GOOGL)

GOOGL Operating Cash Flow CAGR History

YearStart OCFEnd OCFChange% ChangeCAGR
2025$125.30B$164.71B+$39.41B+31.46%+31.46%
2024$101.75B$125.30B+$23.55B+23.15%+23.15%
2023$91.50B$101.75B+$10.25B+11.20%+11.20%
2022$91.65B$91.50B$-157.00M-0.17%-0.17%
2021$65.12B$91.65B+$26.53B+40.73%+40.73%
2020$54.52B$65.12B+$10.60B+19.45%+19.45%
2019$47.97B$54.52B+$6.55B+13.65%+13.65%
2018$37.09B$47.97B+$10.88B+29.33%+29.33%
2017$36.04B$37.09B+$1.05B+2.93%+2.93%
2016$26.02B$36.04B+$10.01B+38.47%+38.47%
2015$22.38B$26.02B+$3.65B+16.30%+16.30%
2014$18.66B$22.38B+$3.72B+19.92%+19.92%
2013$16.62B$18.66B+$2.04B+12.28%+12.28%
2012$14.56B$16.62B+$2.05B+14.10%+14.10%
2011$11.08B$14.56B+$3.48B+31.44%+31.44%
2010$9.32B$11.08B+$1.76B+18.94%+18.94%
2009$7.85B$9.32B+$1.46B+18.63%+18.63%
2008$5.78B$7.85B+$2.08B+35.97%+35.97%
2007$3.58B$5.78B+$2.19B+61.30%+61.30%
2006$2.46B$3.58B+$1.12B+45.58%+45.58%
2005$977.04M$2.46B+$1.48B+151.72%+151.72%
2004$395.44M$977.04M+$581.60M+147.07%+147.07%
2003$155.26M$395.44M+$240.18M+154.69%+154.69%
2002$31.00M$155.26M+$124.27M+400.85%+400.85%