Trip.com Group (TCOM) Free Cash Flow CAGR: History & Chart | TGMCharts
Free Cash Flow CAGR: N/A
Free cash flow CAGR uses the stored cash-flow statement history.
Over the past 12 months, Free Cash Flow CAGR is N/A.The TTM figure compares the trailing 12 months (sum of the latest four quarters) with the 12 months before that. Rows in the history table compare fiscal years, and the quarterly table compares single quarters; the three measure different windows and will differ. Free cash flow CAGR measures how the company's cash generation has grown. FCF represents the cash available for dividends, buybacks, debt reduction, or reinvestment.
FMP quote market capitalization / four-quarter operating cash flow less absolute capital expenditures Quote observation: 2026-10-02T21:05:52.458Z. Historical values estimate market capitalization from statement-period weighted shares. Comparisons with the current quote-based value are approximate. Only filing versions delivered by FMP are available for the historical calculation. Historical series through 2024-06-04.
Four-quarter free cash flow / FMP quote market capitalization × 100 Quote observation: 2026-10-02T21:05:52.458Z. Historical values estimate market capitalization from statement-period weighted shares. Comparisons with the current quote-based value are approximate. Only filing versions delivered by FMP are available for the historical calculation. Historical series through 2024-06-04.
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TCOM Free Cash Flow CAGR History
Year
Start FCF
End FCF
Change
% Change
2025
$2.61B
$1.94B
−$665.21M
-25.52%
2024
$3.01B
$2.61B
−$407.01M
-13.50%
2023
$310.54M
$3.01B
+$2.70B
+870.53%
2022
$299.65M
$310.54M
+$10.89M
+3.63%
2021
−$667.19M
$299.65M
+$966.84M
N/A
2020
$933.26M
−$667.19M
−$1.60B
-171.49%
2019
$931.58M
$933.26M
+$1.68M
+0.18%
2018
$1.01B
$931.58M
−$78.29M
-7.75%
2017
$660.05M
$1.01B
+$349.82M
+53.00%
2016
$368.16M
$660.05M
+$291.89M
+79.28%
2015
−$457.66M
$368.16M
+$825.82M
N/A
2014
$297.36M
−$457.66M
−$755.01M
-253.91%
2013
$178.24M
$297.36M
+$119.11M
+66.83%
2012
$259.18M
$178.24M
−$80.93M
-31.23%
2011
$209.99M
$259.18M
+$49.18M
+23.42%
2010
$124.36M
$209.99M
+$85.63M
+68.86%
2009
$62.14M
$124.36M
+$62.22M
+100.14%
2008
$49.00M
$62.14M
+$13.14M
+26.81%
2007
$28.46M
$49.00M
+$20.54M
+72.19%
2006
$19.60M
$28.46M
+$8.86M
+45.22%
2005
$17.73M
$19.60M
+$1.86M
+10.50%
2004
$7.84M
$17.73M
+$9.90M
+126.32%
2003
$1.24M
$7.84M
+$6.60M
+534.28%
Quarterly Free Cash Flow: QoQ & YoY
Period
Period End
Value
QoQ Growth
YoY Growth
Q4 FY2025
2025-12-31
$1.94B
N/A
N/A
Q1 FY2024
2024-03-31
$280.47M
N/A
N/A
Q3 FY2023
2023-09-30
$7.71M
N/A
-12.2%
Q2 FY2023
2023-06-30
$8.01M
-98.2%
N/A
Q1 FY2023
2023-03-31
$446.03M
+4970.3%
N/A
Q4 FY2022
2022-12-31
$8.80M
+0.2%
N/A
Q3 FY2022
2022-09-30
$8.78M
N/A
N/A
Q4 FY2019
2019-12-31
$446.60M
N/A
N/A
Q2 FY2019
2019-06-30
$220.58M
N/A
N/A
Q4 FY2018
2018-12-31
-$643.49M
N/A
N/A
Q2 FY2018
2018-06-30
$283.16M
N/A
N/A
Q4 FY2017
2017-12-31
-$324.72M
N/A
N/A
Q4 FY2016
2016-12-31
-$66.39B
N/A
N/A
Q4 FY2015
2015-12-31
$415.66M
N/A
N/A
Q3 FY2015
2015-09-30
-$210.54M
N/A
N/A
Q2 FY2015
2015-06-30
$83.43M
+0.9%
N/A
QoQ Growth compares the previous fiscal quarter; YoY Growth compares the same fiscal quarter in the prior fiscal year. Missing or ambiguous fiscal periods render N/A.