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Wednesday, May 17, 2023

American Tower Corporation (AMT)

 American Tower Corporation (AMT) is a leading global real estate investment trust (REIT) specializing in the ownership, operation, and development of multitenant communications real estate. Based in Boston, Massachusetts, the company boasts a portfolio of approximately 219,000 communications sites worldwide.

AMT's core business involves providing infrastructure for wireless and broadcast communications, enabling the efficient transmission of data, voice, and video. The company's extensive portfolio of communications sites positions it as a key player in supporting the growing demand for connectivity.

The company has a robust management team led by Mr. Thomas A. Bartlett, who serves as the President, CEO, and Director. The executive team includes experienced professionals in various key roles, such as finance, operations, and legal affairs.

AMT's financials indicate a positive dividend policy, with a dividend rate of $6.24 and a dividend yield of 0.0319. The company has a payout ratio of 1.4966, which reflects a portion of its earnings distributed to shareholders as dividends.

Analysts' opinions on AMT are generally positive, with a recommendation key of "buy." The target mean price for the stock is $241.27, with a target high price of $271.00 and a target low price of $215.00. The company has 15 analyst opinions contributing to these targets.

In summary, American Tower Corporation is a prominent player in the global communications infrastructure market. With its extensive portfolio of communications sites and strong financial performance, the company is well-positioned to capitalize on the increasing demand for connectivity worldwide.



Here are some key financial measures for the company:

1. EPS (Earnings Per Share): The company's earnings per share is $2.9, indicating the portion of the company's profit allocated to each outstanding share.

2. Trailing Price to Earnings Ratio: The trailing PE ratio is 65.8759. This ratio compares the stock's current market price to its earnings over the past 12 months, suggesting how much investors are willing to pay for each dollar of earnings.

3. Price to Book Ratio: The price to book ratio is 16.4675. It compares the stock's market price to its book value per share, providing insight into the company's valuation relative to its net asset value.

4. Dividend Yield (%): The dividend yield is 3.19%. It represents the percentage of the stock's annual dividend payment relative to its current market price, indicating the return on investment from dividends.

5. Return On Equity (%): The return on equity is 12.176%. This metric measures the company's profitability in relation to shareholders' equity, indicating how efficiently it generates profit from invested capital.

6. Debt to Equity Ratio: The debt to equity ratio is 382.921. It shows the company's level of debt relative to shareholders' equity, providing insight into its financial leverage and risk.

7. Free Cash Flow: The company's free cash flow is $4684.39 million. This metric represents the cash generated by the company after accounting for operating expenses and capital expenditures, indicating its ability to generate cash for expansion, dividends, or debt reduction.

8. Market Capitalization: The market capitalization is $89032.9 million. It reflects the total value of the company's outstanding shares in the stock market, providing an indication of its size and overall market worth.

9. Revenue Growth (%): The revenue growth is 4%. This metric measures the percentage increase in the company's revenue compared to the previous period, indicating its ability to generate sales growth.

10. Operating Margin (%): The operating margin is 30.381%. It represents the percentage of each dollar of revenue that translates into operating income, demonstrating the company's profitability after deducting operating expenses.

11. Forward Price to Earnings Ratio: The forward PE ratio is 39.5528. This ratio calculates the stock's current market price relative to the estimated earnings per share for the next 12 months, providing insight into the market's expectations for future earnings growth.

These financial measures offer valuable insights into the company's earnings, valuation, profitability, financial health, and market performance.

The table and spider chart provided below depict the percentiles of financial measures for AMT (American Tower Corporation) compared to the financial measures of S&P 100 stocks:


The table and spider chart show that American Tower Corporation (AMT) has a higher EPS, P/B ratio, dividend yield, and return on equity than the median S&P 100 stock. AMT also has a higher debt to equity ratio, but its free cash flow and market cap are both below the median. AMT's revenue growth is also higher than the median, but its operating margin is lower.

Overall, AMT appears to be a relatively strong company. It has a high EPS, P/B ratio, and dividend yield, which suggests that it is profitable and well-managed. However, its debt to equity ratio is high, which could be a risk factor. AMT's revenue growth is also high, which could be a positive sign for the future. However, its operating margin is lower than the median, which could suggest that it is not as efficient as some of its peers.


             Financial Measure  Percentile Stock
0                           EPS         20.202020
1                     P/E Ratio         93.750000
2                     P/B Ratio         90.109890
3            Dividend Yield (%)         63.095238
4              Return On Equity         31.818182
5                Debt to Equity         89.156627
6   Free cash Flow (in million)         41.176471
7       Market Cap (in million)         25.000000
8                Revenue Growth         51.546392
9              Operating Margin         74.226804
10                        Total        580.081623




These visual representations provide an overview of how AMT's financial measures rank relative to the S&P 100 stocks. The percentile values indicate the position of each measure compared to the other companies in the S&P 100 index.


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