Charter Communications Inc

Charter Communications Inc

CQD.DE
Charter Communications IncDE flagDeutsche Börse
120.04
EUR
-1.30
- -
14.76BMarket Cap

Total Valuation

Charter Communications Inc carries a market capitalization of 14.76B, placing it among publicly traded companies globally. Its enterprise value stands at 129.32B, reflecting the total theoretical takeover cost after accounting for cash holdings and debt obligations.

Market Cap14.76B
Enterprise Value129.32B

Share Statistics

Charter Communications Inc currently has 122.98M shares outstanding.

Shares Outstanding122.98M
Owned by Insiders (%)N/A
Owned by Institutions (%)N/A

Valuation Ratios

Charter Communications Inc trades at a trailing price-to-earnings ratio of 5.74. The price-to-sales ratio is 0.52, and the price-to-book ratio stands at -6.70.

PE Ratio5.74
PS Ratio0.52
PB Ratio-6.70
P/TBV Ratio-0.37
P/FCF Ratio1.02
P/OCF Ratio1.75

Enterprise Valuation

On an enterprise value basis, Charter Communications Inc trades at an EV/EBITDA multiple of 5.90 and an EV/FCF ratio of 4.02. The EV/Sales ratio of 2.37 reflects the premium investors are willing to pay for the company's revenue stream, while the EV/EBIT multiple of 9.81 provides insight into valuation relative to core operating earnings.

EV / Sales2.37
EV / EBITDA5.90
EV / EBIT9.81
EV / FCF4.02

Financial Position

Charter Communications Inc maintains a current ratio of 0.40, meaning it holds 0.4x the short-term assets needed to cover near-term liabilities. The debt-to-equity ratio is 459.53, indicating elevated leverage, while an interest coverage ratio of 4.34 demonstrates adequate ability to service its debt obligations.

Current Ratio0.40
Quick Ratio0.33
Debt / Equity459.53
Debt / EBITDA4.42
Interest Coverage4.34

Financial Efficiency

Return on Equity (ROE)N/A
Return on Assets (ROA)3.23
Return on Invested Capital (ROIC)8.64
Return on Capital Employed (ROCE)8.44
Revenue Per EmployeeN/A
Employee CountN/A
Inventory TurnoverN/A

Taxes

Over the trailing twelve months, Charter Communications Inc has paid 1.71B in income taxes, reflecting an effective tax rate of 23.04.

Income Tax1.71B
Effective Tax Rate23.04

Stock Price Statistics

Charter Communications Inc's stock has declined approximately -65.61936% over the past 52 weeks. The 50-day moving average sits at 141.07, while the 200-day moving average is 191.41.

Beta (5Y)N/A
52-Week Price Change-65.61936%
50-Day Moving Average141.07
200-Day Moving Average191.41
Average Volume (20 Days)N/A

Income Statement

Over the trailing twelve months, Charter Communications Inc generated 54.64B in revenue and converted that into 4.93B in net income, yielding earnings per share of 42.86. EBITDA reached 21.93B, while operating income came in at 13.19B.

Revenue54.64B
Gross Profit30.92B
Operating Income13.19B
Pretax Income7.43B
Net Income4.93B
EBITDA21.93B
EBIT13.19B
Earnings Per Share (EPS)42.86

Balance Sheet

Charter Communications Inc holds 517.00M in cash and equivalents against 96.82B in total debt, resulting in a net debt position of 96.31B. Total book value stands at -4.23B, with working capital of -7.41B providing operational flexibility.

Cash & Cash Equivalents517.00M
Total Debt96.82B
Net Debt96.31B
Equity (Book Value)-4.23B
Book Value Per Share-32.25
Working Capital-7.41B

Cash Flow

Charter Communications Inc produced 16.15B in operating cash flow over the past twelve months. After subtracting -12.11B in capital expenditures, free cash flow totaled 4.03B - equivalent to 30.72 per share.

Operating Cash Flow16.15B
Capital Expenditures-12.11B
Free Cash Flow4.03B
FCF Per Share30.72

Margins

Charter Communications Inc operates with a gross margin of 56.58, reflecting its pricing power and cost economics. The operating margin of 24.14 and net profit margin of 9.03 provide insight into operational efficiency.

Gross Margin56.58
Operating Margin24.14
Pretax Margin13.60
Profit Margin9.03
EBITDA Margin40.13

Dividends & Yields

Dividend Per ShareN/A
Dividend YieldN/A
Payout RatioN/A
Shareholder Yield16.23
FCF Yield98.04

Scores

Charter Communications Inc posts an Altman Z-Score of 1.59, below the 3.0 threshold that indicates strong financial health and minimal bankruptcy risk.

Altman Z-Score1.59