Annual FCF:
$764.88M-$485.54M(-38.83%)Summary
- As of today, SNV annual free cash flow is $764.88 million, with the most recent change of -$485.54 million (-38.83%) on December 31, 2024.
- During the last 3 years, SNV annual free cash flow has fallen by -$3.18 million (-0.41%).
- SNV annual free cash flow is now -38.83% below its all-time high of $1.25 billion, reached on December 31, 2023.
Performance
SNV Free Cash Flow Chart
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Range
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Quarterly FCF:
$198.65M+$21.96M(+12.43%)Summary
- As of today, SNV quarterly free cash flow is $198.65 million, with the most recent change of +$21.96 million (+12.43%) on September 30, 2025.
- Over the past year, SNV quarterly free cash flow has dropped by -$42.42 million (-17.60%).
- SNV quarterly free cash flow is now -96.19% below its all-time high of $5.22 billion, reached on September 30, 2020.
Performance
SNV Quarterly Free Cash Flow Chart
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TTM FCF:
$668.15M-$42.42M(-5.97%)Summary
- As of today, SNV TTM free cash flow is $668.15 million, with the most recent change of -$42.42 million (-5.97%) on September 30, 2025.
- Over the past year, SNV TTM free cash flow has dropped by -$102.24 million (-13.27%).
- SNV TTM free cash flow is now -84.46% below its all-time high of $4.30 billion, reached on September 30, 2020.
Performance
SNV TTM Free Cash Flow Chart
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Free Cash Flow Formula
FCF = Cash From Operations − CAPEX
SNV Free Cash Flow Trends
| PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
|---|---|---|---|
| 1Y1 Year | -38.8% | -17.6% | -13.3% |
| 3Y3 Years | -0.4% | -49.0% | +25.1% |
| 5Y5 Years | +36.6% | -96.2% | -84.5% |
SNV Free Cash Flow Highs & Lows
| PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | TTM vs HighTTM vs High | TTM vs LowTTM vs Low | |
|---|---|---|---|---|---|---|---|
| 3Y | 3-Year | -38.8% | at low | -65.3% | +3456.3% | -59.8% | +25.1% |
| 5Y | 5-Year | -38.8% | +399.5% | -96.2% | +104.6% | -84.5% | +119.1% |
| All-Time | All-Time | -38.8% | +399.5% | -96.2% | +104.6% | -84.5% | +119.1% |
SNV Free Cash Flow History
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Sep 2025 | - | $198.65M(+12.4%) | $668.15M(-6.0%) |
| Jun 2025 | - | $176.70M(+303.9%) | $710.57M(-11.5%) |
| Mar 2025 | - | $43.74M(-82.4%) | $803.04M(+5.0%) |
| Dec 2024 | $764.88M(-38.8%) | $249.05M(+3.3%) | $764.88M(-0.7%) |
| Sep 2024 | - | $241.08M(-10.4%) | $770.39M(-6.5%) |
| Jun 2024 | - | $269.16M(+4718.5%) | $823.77M(-9.3%) |
| Mar 2024 | - | $5.59M(-97.8%) | $908.08M(-27.4%) |
| Dec 2023 | $1.25B(+7.7%) | $254.56M(-13.5%) | $1.25B(-20.2%) |
| Sep 2023 | - | $294.46M(-16.7%) | $1.57B(-5.7%) |
| Jun 2023 | - | $353.48M(+1.6%) | $1.66B(+25.0%) |
| Mar 2023 | - | $347.92M(-39.2%) | $1.33B(+14.6%) |
| Dec 2022 | $1.16B(+51.2%) | $572.04M(+46.8%) | $1.16B(+117.5%) |
| Sep 2022 | - | $389.61M(+1749.6%) | $534.06M(-1.8%) |
| Jun 2022 | - | $21.06M(-88.2%) | $543.69M(-41.6%) |
| Mar 2022 | - | $178.67M(+423.2%) | $930.53M(+21.2%) |
| Dec 2021 | $768.06M(+400.8%) | -$55.28M(-113.8%) | $768.06M(+122.0%) |
| Sep 2021 | - | $399.24M(-2.1%) | -$3.50B(-364.6%) |
| Jun 2021 | - | $407.90M(+2417.5%) | $1.32B(>+9900.0%) |
| Mar 2021 | - | $16.20M(+100.4%) | -$2.04M(+99.2%) |
| Dec 2020 | -$255.37M(-145.6%) | -$4.32B(-182.8%) | -$255.37M(-105.9%) |
| Sep 2020 | - | $5.22B(+669.8%) | $4.30B(+626.4%) |
| Jun 2020 | - | -$915.33M(-286.0%) | -$816.68M(-531.1%) |
| Mar 2020 | - | -$237.12M(-200.5%) | $189.42M(-66.2%) |
| Dec 2019 | $559.84M(+15.5%) | $235.93M(+136.3%) | $559.84M(+17.9%) |
| Sep 2019 | - | $99.85M(+10.0%) | $474.70M(-5.5%) |
| Jun 2019 | - | $90.77M(-31.9%) | $502.42M(-9.0%) |
| Mar 2019 | - | $133.30M(-11.6%) | $551.97M(+13.8%) |
| Dec 2018 | $484.89M(+16.2%) | $150.78M(+18.2%) | $484.89M(+5.8%) |
| Sep 2018 | - | $127.58M(-9.1%) | $458.31M(-3.2%) |
| Jun 2018 | - | $140.31M(+111.9%) | $473.65M(+9.1%) |
| Mar 2018 | - | $66.22M(-46.7%) | $434.16M(+4.0%) |
| Dec 2017 | $417.29M(+9.2%) | $124.19M(-13.1%) | $417.29M(+21.5%) |
| Sep 2017 | - | $142.91M(+41.7%) | $343.35M(+3.6%) |
| Jun 2017 | - | $100.83M(+104.3%) | $331.45M(-5.1%) |
| Mar 2017 | - | $49.35M(-1.8%) | $349.16M(-8.6%) |
| Dec 2016 | $382.20M(+9.8%) | $50.26M(-61.6%) | $382.20M(-13.8%) |
| Sep 2016 | - | $131.02M(+10.5%) | $443.21M(+5.9%) |
| Jun 2016 | - | $118.54M(+43.9%) | $418.64M(+13.8%) |
| Mar 2016 | - | $82.39M(-26.0%) | $367.98M(+5.7%) |
| Dec 2015 | $348.11M(-3.6%) | $111.27M(+4.5%) | $348.11M(+12.3%) |
| Sep 2015 | - | $106.44M(+56.8%) | $310.09M(-4.1%) |
| Jun 2015 | - | $67.88M(+8.6%) | $323.39M(-2.0%) |
| Mar 2015 | - | $62.52M(-14.6%) | $329.89M(-7.3%) |
| Dec 2014 | $361.12M(-11.7%) | $73.24M(-38.8%) | $356.01M(-4.7%) |
| Sep 2014 | - | $119.74M(+61.0%) | $373.43M(+2.8%) |
| Jun 2014 | - | $74.39M(-16.1%) | $363.08M(-8.0%) |
| Mar 2014 | - | $88.64M(-2.2%) | $394.57M(-3.5%) |
| Dec 2013 | $409.00M(-13.8%) | $90.66M(-17.1%) | $409.00M(-32.6%) |
| Sep 2013 | - | $109.39M(+3.3%) | $606.99M(+40.4%) |
| Jun 2013 | - | $105.87M(+2.7%) | $432.36M(+45.7%) |
| Mar 2013 | - | $103.07M(-64.3%) | $296.76M(-37.4%) |
| Dec 2012 | $474.24M(-13.6%) | $288.65M(+542.5%) | $474.24M(+45.6%) |
| Sep 2012 | - | -$65.24M(-119.4%) | $325.66M(-39.4%) |
| Jun 2012 | - | -$29.73M(-110.6%) | $537.43M(-26.3%) |
| Mar 2012 | - | $280.55M(+100.3%) | $729.59M(+32.9%) |
| Dec 2011 | $549.03M(-44.8%) | $140.07M(-4.4%) | $549.03M(-16.6%) |
| Sep 2011 | - | $146.54M(-9.8%) | $658.49M(-0.8%) |
| Jun 2011 | - | $162.43M(+62.4%) | $663.93M(+1.9%) |
| Mar 2011 | - | $99.99M(-59.9%) | $651.57M(-34.5%) |
| Dec 2010 | $994.06M(+153.5%) | $249.53M(+64.2%) | $994.06M(+33.5%) |
| Sep 2010 | - | $151.98M(+1.3%) | $744.53M(+0.1%) |
| Jun 2010 | - | $150.07M(-66.1%) | $743.57M(-5.6%) |
| Mar 2010 | - | $442.48M(+193.0%) | $787.78M(+14.1%) |
| Dec 2009 | $392.13M(-45.7%) | - | - |
| Sep 2009 | - | $151.02M(-22.3%) | $690.20M(-8.6%) |
| Jun 2009 | - | $194.28M(+55.9%) | $755.51M(+11.8%) |
| Mar 2009 | - | $124.62M(-43.4%) | $675.70M(-6.4%) |
| Dec 2008 | $721.78M(+70.4%) | $220.28M(+1.8%) | $721.78M(+5.8%) |
| Sep 2008 | - | $216.33M(+89.0%) | $682.18M(+15.5%) |
| Jun 2008 | - | $114.47M(-32.9%) | $590.63M(+7.1%) |
| Mar 2008 | - | $170.70M(-5.5%) | $551.32M(+18.7%) |
| Dec 2007 | $423.66M | $180.68M(+44.8%) | $464.48M(+6.4%) |
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Sep 2007 | - | $124.78M(+66.0%) | $436.49M(-24.0%) |
| Jun 2007 | - | $75.15M(-10.4%) | $574.10M(-10.7%) |
| Mar 2007 | - | $83.86M(-45.1%) | $642.55M(+0.5%) |
| Dec 2006 | $564.82M(+23.3%) | $152.69M(-41.8%) | $639.55M(-7.3%) |
| Sep 2006 | - | $262.40M(+82.7%) | $690.00M(+6.1%) |
| Jun 2006 | - | $143.61M(+77.6%) | $650.32M(+10.3%) |
| Mar 2006 | - | $80.86M(-60.2%) | $589.42M(+14.9%) |
| Dec 2005 | $458.10M(-23.3%) | $203.13M(-8.8%) | $513.04M(-7.9%) |
| Sep 2005 | - | $222.72M(+169.3%) | $556.82M(+5.8%) |
| Jun 2005 | - | $82.70M(+1745.7%) | $526.19M(-8.8%) |
| Mar 2005 | - | $4.48M(-98.2%) | $576.98M(-16.2%) |
| Dec 2004 | $597.16M(+30.5%) | $246.91M(+28.5%) | $688.84M(-0.9%) |
| Sep 2004 | - | $192.09M(+43.9%) | $695.32M(-7.9%) |
| Jun 2004 | - | $133.50M(+14.7%) | $755.06M(+16.0%) |
| Mar 2004 | - | $116.34M(-54.1%) | $651.15M(+20.4%) |
| Dec 2003 | $457.69M(-10.3%) | $253.39M(+0.6%) | $540.82M(+28.0%) |
| Sep 2003 | - | $251.84M(+751.2%) | $422.65M(+107.6%) |
| Jun 2003 | - | $29.59M(+392.9%) | $203.55M(-30.3%) |
| Mar 2003 | - | $6.00M(-95.6%) | $292.12M(-49.4%) |
| Dec 2002 | $510.48M(+2241.2%) | $135.22M(+313.0%) | $576.95M(+90.9%) |
| Sep 2002 | - | $32.74M(-72.3%) | $302.19M(-29.6%) |
| Jun 2002 | - | $118.16M(-59.4%) | $429.15M(+15.6%) |
| Mar 2002 | - | $290.83M(+308.4%) | $371.20M(+1089.9%) |
| Dec 2001 | -$23.84M(-114.1%) | -$139.53M(-187.4%) | $31.20M(-88.3%) |
| Sep 2001 | - | $159.70M(+165.3%) | $267.15M(+11.8%) |
| Jun 2001 | - | $60.20M(+222.4%) | $239.00M(+12.1%) |
| Mar 2001 | - | -$49.18M(-151.0%) | $213.16M(-24.9%) |
| Dec 2000 | $169.37M(-38.3%) | $96.42M(-26.7%) | $283.77M(+17.6%) |
| Sep 2000 | - | $131.55M(+282.8%) | $241.35M(+37.7%) |
| Jun 2000 | - | $34.36M(+60.3%) | $175.27M(-3.9%) |
| Mar 2000 | - | $21.43M(-60.3%) | $182.46M(-33.5%) |
| Dec 1999 | $274.40M(+1466.7%) | $54.01M(-17.5%) | $274.40M(+78.7%) |
| Sep 1999 | - | $65.47M(+57.6%) | $153.57M(+11.3%) |
| Jun 1999 | - | $41.55M(-63.3%) | $138.04M(-1.8%) |
| Mar 1999 | - | $113.37M(+269.7%) | $140.61M(+255.7%) |
| Dec 1998 | -$20.08M(-112.7%) | -$66.81M(-233.8%) | $39.53M(-76.8%) |
| Sep 1998 | - | $49.93M(+13.2%) | $170.34M(+1.9%) |
| Jun 1998 | - | $44.12M(+258.9%) | $167.21M(+10.7%) |
| Mar 1998 | - | $12.29M(-80.8%) | $150.99M(-22.4%) |
| Dec 1997 | $158.07M(+23.9%) | $64.00M(+36.8%) | $194.70M(+11.6%) |
| Sep 1997 | - | $46.80M(+67.7%) | $174.50M(-0.4%) |
| Jun 1997 | - | $27.90M(-50.2%) | $175.20M(-1.5%) |
| Mar 1997 | - | $56.00M(+27.9%) | $177.80M(+30.0%) |
| Dec 1996 | $127.61M(+25.6%) | $43.80M(-7.8%) | $136.80M(+50.5%) |
| Sep 1996 | - | $47.50M(+55.7%) | $90.90M(-24.5%) |
| Jun 1996 | - | $30.50M(+103.3%) | $120.40M(+17.8%) |
| Mar 1996 | - | $15.00M(+814.3%) | $102.20M(-1.9%) |
| Dec 1995 | $101.62M(-10.7%) | -$2.10M(-102.7%) | $104.20M(-40.5%) |
| Sep 1995 | - | $77.00M(+526.0%) | $175.00M(+39.2%) |
| Jun 1995 | - | $12.30M(-27.6%) | $125.70M(-4.2%) |
| Mar 1995 | - | $17.00M(-75.3%) | $131.20M(-7.0%) |
| Dec 1994 | $113.85M(+69.1%) | $68.70M(+148.0%) | $141.10M(+97.3%) |
| Sep 1994 | - | $27.70M(+55.6%) | $71.50M(-17.2%) |
| Jun 1994 | - | $17.80M(-33.8%) | $86.40M(+31.7%) |
| Mar 1994 | - | $26.90M(+3088.9%) | $65.60M(-2.7%) |
| Dec 1993 | $67.33M(-41.4%) | -$900.00K(-102.1%) | $67.40M(-35.1%) |
| Sep 1993 | - | $42.60M(+1520.0%) | $103.80M(-14.3%) |
| Jun 1993 | - | -$3.00M(-110.5%) | $121.10M(-14.6%) |
| Mar 1993 | - | $28.70M(-19.2%) | $141.80M(+19.3%) |
| Dec 1992 | $114.89M(+123.4%) | $35.50M(-40.7%) | $118.90M(+2.3%) |
| Sep 1992 | - | $59.90M(+238.4%) | $116.20M(+69.6%) |
| Jun 1992 | - | $17.70M(+205.2%) | $68.50M(+11.9%) |
| Mar 1992 | - | $5.80M(-82.3%) | $61.20M(+19.1%) |
| Dec 1991 | $51.43M(+817.1%) | $32.80M(+168.9%) | $51.40M(+176.3%) |
| Sep 1991 | - | $12.20M(+17.3%) | $18.60M(+43.1%) |
| Jun 1991 | - | $10.40M(+360.0%) | $13.00M(+313.1%) |
| Mar 1991 | - | -$4.00M(-160.6%) | -$6.10M(-369.2%) |
| Dec 1990 | -$7.17M(+94.1%) | - | - |
| Sep 1990 | - | $6.60M(+175.9%) | -$1.30M(+83.5%) |
| Jun 1990 | - | -$8.70M(-1187.5%) | -$7.90M(-1087.5%) |
| Mar 1990 | - | $800.00K | $800.00K |
| Dec 1989 | -$122.51M | - | - |
FAQ
- What is Synovus Financial Corp. annual free cash flow?
- What is the all-time high annual free cash flow for Synovus Financial Corp.?
- What is Synovus Financial Corp. annual free cash flow year-on-year change?
- What is Synovus Financial Corp. quarterly free cash flow?
- What is the all-time high quarterly free cash flow for Synovus Financial Corp.?
- What is Synovus Financial Corp. quarterly free cash flow year-on-year change?
- What is Synovus Financial Corp. TTM free cash flow?
- What is the all-time high TTM free cash flow for Synovus Financial Corp.?
- What is Synovus Financial Corp. TTM free cash flow year-on-year change?
What is Synovus Financial Corp. annual free cash flow?
The current annual free cash flow of SNV is $764.88M
What is the all-time high annual free cash flow for Synovus Financial Corp.?
Synovus Financial Corp. all-time high annual free cash flow is $1.25B
What is Synovus Financial Corp. annual free cash flow year-on-year change?
Over the past year, SNV annual free cash flow has changed by -$485.54M (-38.83%)
What is Synovus Financial Corp. quarterly free cash flow?
The current quarterly free cash flow of SNV is $198.65M
What is the all-time high quarterly free cash flow for Synovus Financial Corp.?
Synovus Financial Corp. all-time high quarterly free cash flow is $5.22B
What is Synovus Financial Corp. quarterly free cash flow year-on-year change?
Over the past year, SNV quarterly free cash flow has changed by -$42.42M (-17.60%)
What is Synovus Financial Corp. TTM free cash flow?
The current TTM free cash flow of SNV is $668.15M
What is the all-time high TTM free cash flow for Synovus Financial Corp.?
Synovus Financial Corp. all-time high TTM free cash flow is $4.30B
What is Synovus Financial Corp. TTM free cash flow year-on-year change?
Over the past year, SNV TTM free cash flow has changed by -$102.24M (-13.27%)