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PDD - PDD Holdings Inc. (PDD) has a free cash flow of $17.08B, down 12.3% over the past year and up 30.3% per year over the past five years.
FCF TTM
$17.08B
FCF Margin
26.26%
FCF Yield
13.81%
5Y CAGR
30.31%
| Year | Free Cash Flow | Change |
|---|---|---|
| 2025 | $15.81B | -12.29% |
| 2024 | $18.02B | +55.64% |
| 2023 | $11.58B | +211.22% |
| 2022 | $3.72B | -12.42% |
| 2021 | $4.25B | +2.02% |
| 2020 | $4.16B | +90.56% |
| 2019 | $2.18B | +112.27% |
| 2018 | $1.03B | +2188.23% |
| 2017 | $44.98M | - |
| Quarter | Free Cash Flow | Change |
|---|---|---|
| Q1 2026 | $3.56B | +0.00% |
| Q4 2025 | $3.56B | -47.18% |
| Q3 2025 | $6.75B | +110.98% |
| Q2 2025 | $3.20B | +39.47% |
| Q1 2025 | $2.29B | -47.48% |
| Q4 2024 | $4.37B | +7.36% |
| Q3 2024 | $4.07B | -37.15% |
| Q2 2024 | $6.47B | +107.87% |
| Q1 2024 | $3.11B | +0.00% |
| Q4 2023 | $3.11B | -35.25% |
| Q3 2023 | $4.81B | +39.07% |
| Q2 2023 | $3.46B | +1648.55% |
| Q1 2023 | $197.75M | -58.37% |
| Q4 2022 | $474.97M | -72.42% |
| Q3 2022 | $1.72B | -39.86% |
| Q2 2022 | $2.86B | +313.65% |
| Q1 2022 | -$1.34B | -155.44% |
| Q4 2021 | $2.42B | +87.22% |
| Q3 2021 | $1.29B | +18.52% |
| Q2 2021 | $1.09B | +297.91% |
| Q1 2021 | -$550.47M | -124.96% |
| Q4 2020 | $2.21B | +79.31% |
| Q3 2020 | $1.23B | +51.43% |
| Q2 2020 | $812.19M | +1069.08% |
| Q1 2020 | -$83.81M | -105.93% |
| Q4 2019 | $1.41B | +265.54% |
| Q3 2019 | $386.96M | -36.73% |
| Q2 2019 | $611.56M | +368.13% |
| Q1 2019 | -$228.09M | -126.91% |
| Q4 2018 | $847.46M | +2195.95% |
| Q3 2018 | $36.91M | -29.33% |
| Q2 2018 | $52.23M | -43.67% |
| Q1 2018 | $92.72M | +192.50% |
| Q4 2017 | -$100.24M | +1.53% |
| Q3 2017 | -$101.79M | -153.66% |
| Q2 2017 | $189.71M | +231.00% |
| Q1 2017 | $57.31M | - |
| Q4 2016 | - | - |
Free cash flow (FCF) is the cash left after a company covers its operating expenses and capital expenditures. It is the money available to repay debt, buy back shares, pay dividends, or reinvest — making it one of the clearest measures of financial strength.