← Palantir Technologies Inc.

PLTR

Free Cash Flow

Cash generated after capital expenditures.

Latest Free Cash Flow: $517M (2024Q4); +69.5% YoY.

Revenue EPS Free Cash Flow Gross Margin FCF Margin P/E Ratio Cumulative FCF Shares Outstanding Rule of 40

Quarterly Free Cash Flow Data

Period Value
2020Q1 -$40M
2020Q2 -$55M
2020Q3 -$58M
2020Q4 $105M
2021Q1 $151M
2021Q2 $50M
2021Q3 $119M
2021Q4 $104M
2022Q1 $30M
2022Q2 $61M
2022Q3 $37M
2022Q4 $69M
2023Q1 $189M
2023Q2 $90M
2023Q3 $141M
2023Q4 $305M
2024Q1 $149M
2024Q2 $254M
2024Q3 $435M
2024Q4 $517M

Enterprise SaaS Comparison

1 / 3

Other PLTR Charts

More quarter-by-quarter fundamentals for Palantir Technologies Inc.

1 / 8