CBRE GROUP, INC. (CBRE) › Cash & EquivalentsCBRE GROUP, INC. (CBRE) — Cash & EquivalentsAnnual figures by fiscal year, from SEC filings.2007: $342.87M2008: $158.82M2009: $741.56M2010: $506.57M2011: $1.09B2012: $1.09B2013: $491.91M2014: $740.88M2015: $540.40M2016: $762.58M2017: $751.77M2018: $777.22M2019: $971.78M2020: $1.90B2021: $2.43B2022: $1.32B2023: $1.26B2024: $1.11B2025: $1.86B$1.86B2007Cash & Equivalents (USD)2025Fiscal YearCash & EquivalentsChange YoY2025$1.86B+67.3%2024$1.11B-11.9%2023$1.26B-4.0%2022$1.32B-45.8%2021$2.43B+28.2%2020$1.90B+95.1%2019$971.78M+25.0%2018$777.22M+3.4%2017$751.77M-1.4%2016$762.58M+41.1%2015$540.40M-27.1%2014$740.88M+50.6%2013$491.91M-54.8%2012$1.09B-0.4%2011$1.09B+115.8%2010$506.57M-31.7%2009$741.56M+366.9%2008$158.82M-53.7%2007$342.87M—Other metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesShareholders' EquityOperating Cash FlowCapital ExpendituresShares OutstandingDividends Per Share