FCF Yield
Updated 1899h ago
Sector Performance
13th percentileCMA
0.0%
Sector Median
4.2%
Sector Avg
7.8%
Deep Analysis
The current free cash flow (FCF) yield of 0.0% means Comerica (CMA) generates no free cash flow relative to its stock price — free cash flow is cash a company produces after expenses, and yield shows that cash as a percentage of share price.
Compared to sector peers, the sector median FCF yield is 4.4%, and CMA ranks in the 10th percentile, indicating it lags most competitors. The metric has no trend data because the actual value is zero for the most recent period; year-over-year and quarter-over-quarter changes are both listed as "N/A," and no historical trend is available for the last eight quarters. The combination of a 0.0% FCF yield — well below the sector median — with no visible trend suggests elevated risk, as the company currently offers no cash return to investors, though the absence of prior data limits an assessment of direction. This metric contradicts the overall NEUTRAL verdict, because a 0.0% yield in a sector where the median is 4.4% typically signals a weaker financial position than a neutral rating would imply.
Frequently Asked Questions
What does the FCF Yield tell investors about CMA?
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
How is the FCF Yield calculated?
FCF Yield is calculated as: Free Cash Flow / Market Cap.
Who are CMA's closest peers by FCF Yield?
The closest peers by FCF Yield include: FLNC (-6.3%), NCLH (-13.0%), SG (-13.6%), XEL (-13.6%), GS (-14.0%).
The Formula
Free Cash Flow / Market Cap
Why It Matters
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
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0.0%
Sector Median
4.2%
Sector Avg
7.8%
How CMA's FCF Yield compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.