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Piedmont Office Realty Trust (PDM) Free Cash Flow (2010 - 2026)

Piedmont Office Realty Trust (PDM) free cash flow from Mar 31, 2010 to Mar 31, 2026. The TTM Piedmont Office Realty Trust (PDM) free cash flow is $165M. You can adjust inflation or export chart.

All data is split-adjusted. You can find the most accurate data from the reports on the SEC official website. We recommend verify information using official company filings before making investment decisions.

Annual Free Cash Flow

Quarterly Free Cash Flow

Piedmont Office Realty Trust (PDM) Free Cash Flow CAGR table

PeriodCAGR
1 Year TTM-7.56%
3 Years TTM-8.56%
5 Years TTM-3.12%
10 Years TTM-2.99%
All Time TTM-3.30%

Annual Free Cash Flow change of Piedmont Office Realty Trust (PDM)

YearFree Cash FlowChange
2026$28M-80.00%
2025$141M-29.04%
2024$198M-5.72%
2023$210M-2.37%
2022$215M-11.14%
2021$242M+25.31%
2020$193M-7.29%
2019$208M+2.77%
2018$203M-16.45%
2017$243M+2.97%
2016$236M+8.50%
2015$217M+0.67%
2014$216M+0.37%
2013$215M-3.66%
2012$223M-17.42%
2011$270M-1.96%
2010$276M-2.06%
2009$282MN/A

Comparison Piedmont Office Realty Trust (PDM) five years free cash flow CAGR with competitors

Piedmont Office Realty Trust (PDM) five years free cash flow CAGR is -3.12%.