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AbbVie Inc.

AbbVie Inc.ABBV Free Cash Flow

Operating cash flow less capital expenditures — the cash a business keeps after funding itself.

Free Cash Flow

Latest: $3.11B (2026Q2)

Period Value
2020Q3 $5.61B
2020Q4 $4.58B
2021Q1 $4.69B
2021Q2 $4.70B
2021Q3 $7.72B
2021Q4 $4.89B
2022Q1 $4.75B
2022Q2 $4.86B
2022Q3 $7.42B
2022Q4 $7.21B
2023Q1 $4.02B
2023Q2 $6.14B
2023Q3 $7.36B
2023Q4 $4.55B
2024Q1 $3.85B
2024Q2 $2.03B
2024Q3 $5.20B
2024Q4 $6.76B
2025Q1 $1.40B
2025Q2 $4.88B
2025Q3 $6.64B
2025Q4 $4.89B
2026Q1 $3.56B
2026Q2 $3.11B

Latest Free Cash Flow: $3.11B (2026Q2); -36.2% YoY; +8.2% CAGR since 2013Q1 (13.25y).

Across the 54 quarters from 2013Q1 to 2026Q2, Free Cash Flow ranged from -$731M in 2014Q4 to $7.72B in 2021Q3.

Chart and table show the latest 24 of 54 quarters.

Other ABBV Charts

More quarter-by-quarter fundamentals for AbbVie Inc.

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Healthcare Comparison

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