CBRE Group Stock

CBRE Group FCF/Debt

The Free Cash Flow to Debt Ratio of CBRE Group (CBRE) as of Aug 13, 2026 is 15.25 %. In the previous year, Free Cash Flow to Debt Ratio was 34.28 % — a change of -55.51% (lower).

FCF/Debt

15.25 %

YoY

-55.51%

Last updated:

Free Cash Flow to Debt Ratio of CBRE Group is 2026 15.25 % . Free Cash Flow to Debt Ratio of CBRE Group was 2025 34.28 % . It decreases by -55.51% lower compared to the previous year.
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CBRE Group Stock analysis

What does CBRE Group do? CBRE Group Inc is a globally active company in the real estate and investment management sector, headquartered in Los Angeles, California. The company's history dates back to 1906 when it was founded as Coldwell Banker. Over the years, the company has grown and renamed through numerous mergers and acquisitions until it went public in 2001 under the name CB Richard Ellis Group Inc (CBRE). CBRE's business model is based on offering real estate and investment management services to clients worldwide. The company serves its clients in various countries and provides a wide range of services, including valuation, leasing, sales, investment management, and consulting services. The firm heavily invests in the latest technologies and digital innovations to offer its clients versatile and smart solutions. The different divisions of CBRE include real estate leasing, investment management, valuation, and real estate consulting. The real estate leasing division is the largest division and offers a wide range of services to help tenants and landlords with leasing, management, and maintenance of properties. Investment management involves managing investments in real estate, as well as structuring and placing investment vehicles. The valuation division handles the appraisal of properties, while the real estate consulting division supports clients with strategic planning and consulting services. CBRE offers various products to enable comprehensive real estate management for its clients. These include coworking spaces, smart buildings, retail properties, and specialized portfolios. One of the company's most well-known products is CBRE Hana, a flexible office solution that is particularly suitable for startups and scaling companies. CBRE Hana offers coworking spaces combined with private office units and is characterized by its flexible usage options. Overall, CBRE Group Inc is a leading company in the real estate and investment management sector, offering a wide range of services and products related to real estate. With its long-standing experience and well-thought-out business model, CBRE is able to provide its clients with comprehensive solutions and highly professional advice. Furthermore, through its continuous investment in digital innovations and technologies, the company will be able to offer its clients even further improved services and products. CBRE Group is one of the most popular companies on Eulerpool.

Frequently Asked Questions about CBRE Group stock

Free Cash Flow to Debt Ratio of CBRE Group is 15.25 % in 2026.

Free Cash Flow to Debt Ratio of CBRE Group changed from 34.28 % to 15.25 %, representing a -55.51% change. The value is lower than the previous year.

On Eulerpool you can find the complete historical development of Free Cash Flow to Debt Ratio CBRE Group since 2006 – with annual values, charts, and detailed analysis.

FCF/Debt measures the percentage of total debt that could be repaid from free cash flow. It is a stricter measure than OCF/Debt as it accounts for capital expenditures.

A 'good' varies by industry and company stage. On Eulerpool, you can compare Free Cash Flow to Debt Ratio's CBRE Group with sector peers and the industry average to assess whether it is attractive.

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