First Industrial Realty Trust Inc (FR) — Free Cash Flow Generation Index

Latest as of March 2026: 1.00x

First Industrial Realty Trust Inc (FR) has a Free Cash Flow Generation Index of 1.00x as of March 2026. Free cash flow of $88.91 Million represents 1% of operating cash flow ($88.91 Million). See First Industrial Realty Trust Inc current assets vs equity to evaluate short-term liquidity relative to the company's equity base.

FCF Generation Index

1.00x
Free Cash Flow / Operating CF

Free Cash Flow

$88.91 Million
USD

Operating Cash Flow

$88.91 Million
USD

Capital Expenditures

$0.00
USD

First Industrial Realty Trust Inc Free Cash Flow Generation Index (1994–2025)

Historical FCF Generation Index trend for First Industrial Realty Trust Inc across 32 annual periods. Explore cash flow to debt ratio of First Industrial Realty Trust Inc to assess how comfortably operating cash covers total debt obligations.

Annual Free Cash Flow Generation for First Industrial Realty Trust Inc (1994–2025)

Year-by-year Free Cash Flow Generation Index for First Industrial Realty Trust Inc. For the full company profile including market capitalisation, see First Industrial Realty Trust Inc market cap and net worth.

Year FCG Index Free Cash Flow (USD) Operating CF Capital Expenditures YoY Change
2025 0.25x $114.89 Million $461.34 Million $346.45 Million ▼ -35.3%
2024 0.38x $134.85 Million $350.42 Million $215.56 Million ▲ +295.1%
2023 -0.20x $-59.62 Million $302.31 Million $361.93 Million ▼ -119.7%
2022 1.00x $410.90 Million $410.90 Million $827.69 Million ▲ +688.8%
2021 0.13x $33.85 Million $267.03 Million $233.18 Million ▼ -61.8%
2020 0.33x $79.96 Million $241.08 Million $161.12 Million ▲ +1048.8%
2019 -0.03x $-8.59 Million $245.62 Million $254.21 Million ▲ +94.9%
2018 -0.69x $-144.73 Million $210.50 Million $355.23 Million ▼ -389.7%
2017 0.24x $45.42 Million $191.43 Million $146.00 Million ▲ +717.7%
2016 -0.04x $-6.66 Million $173.34 Million $179.99 Million ▲ +96.0%
2015 -0.96x $-155.93 Million $162.15 Million $318.07 Million ▼ -66.1%
2014 -0.58x $-79.40 Million $137.18 Million $216.58 Million ▼ -16.4%
2013 -0.50x $-62.55 Million $125.75 Million $188.31 Million ▼ -3246.3%
2012 -0.01x $-2.03 Million $136.42 Million $138.45 Million ▲ +56.5%
2011 -0.03x $-2.99 Million $87.53 Million $90.52 Million ▲ +56.6%
2010 -0.08x $-6.55 Million $83.19 Million $89.74 Million ▼ -107.9%
2009 1.00x $142.18 Million $142.18 Million $0.00 ▲ +113.9%
2008 -7.20x $-512.23 Million $71.19 Million $583.41 Million ▼ -14.1%
2007 -6.31x $-584.73 Million $92.74 Million $677.46 Million ▲ +50.2%
2006 -12.67x $-754.29 Million $59.55 Million $813.84 Million ▲ +28.3%
2005 -17.66x $-871.36 Million $49.35 Million $920.71 Million ▼ -236.3%
2004 -5.25x $-407.74 Million $77.66 Million $485.39 Million ▼ -145.7%
2003 -2.14x $-212.80 Million $99.56 Million $312.36 Million ▼ -36.7%
2002 -1.56x $-205.80 Million $131.60 Million $337.40 Million ▲ +9.0%
2001 -1.72x $-252.92 Million $147.09 Million $400.01 Million ▲ +17.5%
2000 -2.08x $-333.84 Million $160.24 Million $494.08 Million ▼ -551.9%
1999 -0.32x $-56.54 Million $176.90 Million $233.43 Million ▲ +90.0%
1998 -3.19x $-475.93 Million $149.10 Million $625.03 Million ▲ +54.8%
1997 -7.07x $-725.24 Million $102.64 Million $827.87 Million ▼ -127.5%
1996 -3.11x $-194.53 Million $62.62 Million $257.16 Million ▼ -142.1%
1995 -1.28x $-49.40 Million $38.50 Million $87.90 Million ▲ +38.6%
1994 -2.09x $-49.30 Million $23.60 Million $72.90 Million
FCG Index = Free Cash Flow / Operating Cash Flow. FCF = Operating CF + Capital Expenditures (capex stored negative).