Charter Communications, Inc. (CHTR)
- Company Overview
- Charter Communications, Inc. is a broadband connectivity and cable operator company serving residential and commercial customers in the United States.
- The company offers subscription-based internet, video, and mobile and voice services.
- Charter has approximately 32 million customers in 41 states.
- The company was founded in 1993 and is headquartered in Stamford, Connecticut.
- Financial Highlights
- Market capitalization: $512.5 billion
- Revenue: $54.5 billion
- Net income: $4.8 billion
- EPS: $30.2
- Trailing P/E: 11.3
- Forward P/E: 8.7
- Dividend yield: 0.0%
- Analyst Recommendations
- 21 analysts have rated CHTR as a "Hold"
- The average target price for CHTR is $447
- Risk Factors
- High debt levels
- Competitive landscape
- Regulatory changes
Overall, Charter Communications is a well-established company with a strong track record of profitability. The company's stock is currently trading at a premium to its historical valuation, but it could be a good investment for investors who are looking for a dividend-paying stock with a history of growth.
+--------------------------------------------+-------------+| Financial Measure | Value |+============================================+=============+| EPS | 30.19 |+--------------------------------------------+-------------+| Trailing Price to Earnings Ratio | 11.2753 |+--------------------------------------------+-------------+| Price to Book Ratio | 5.44231 |+--------------------------------------------+-------------+| Dividend Yield (%) | 3.44 |+--------------------------------------------+-------------+| Return On Equity (%) | 39.125 |+--------------------------------------------+-------------+| Debt to Equity Ratio | 761.618 |+--------------------------------------------+-------------+| Free Cash Flow (in million dollars) | 4683.13 |+--------------------------------------------+-------------+| Market Capitalization (in million dollars) | 51255.7 |+--------------------------------------------+-------------+| Revenue Growth (%) | 3.4 |+--------------------------------------------+-------------+| Operating Margin (%) | 23.214 |+--------------------------------------------+-------------+| Forward Price to Earnings Ratio | 8.67261 |+--------------------------------------------+-------------+
Here's a summary of the key financial measures for Charter Communications, Inc.:
1. **Earnings Per Share (EPS):** The company's EPS is 30.19. This figure indicates the company's profitability on a per-share basis.
2. **Trailing Price to Earnings Ratio (P/E):** The trailing P/E ratio is 11.2753. This ratio is used to determine the relative value of the company's shares.
3. **Price to Book Ratio (P/B):** The P/B ratio is 5.44231. This ratio compares the company's market value to its book value.
4. **Dividend Yield:** The dividend yield is 3.44%. This percentage shows how much dividend income you received in relation to the price of the stock.
5. **Return On Equity (ROE):** The ROE is 39.125%. This measure shows the rate of return on the shareholders' equity of the common stock owners.
6. **Debt to Equity Ratio:** The debt to equity ratio is 761.618. This ratio indicates the relative proportion of shareholders' equity and debt used to finance the company's assets.
7. **Free Cash Flow:** The company's free cash flow is $4683.13 million. This figure represents the cash a company generates after accounting for cash outflows to support operations and maintain its capital assets.
8. **Market Capitalization:** The market capitalization is $51255.7 million. This value is the total dollar market value of the company's outstanding shares of stock.
9. **Revenue Growth:** The company's revenue growth is 3.4%. This percentage shows the increase in the company's revenue from the previous fiscal period.
10. **Operating Margin:** The operating margin is 23.214%. This percentage measure shows the profitability for each dollar of sales.
11. **Forward Price to Earnings Ratio:** The forward P/E ratio is 8.67261. This ratio is a measure of the price-to-earnings ratio using forecasted earnings for the P/E calculation.
Here's a summary of how Charter Communications, Inc. (CHTR) stock's performance measures compare to the S&P 100 stocks:
1. **Earnings Per Share (EPS):** CHTR's EPS is in the 96.97 percentile. This means the company's EPS is higher than about 97% of the S&P 100 stocks.
2. **Price to Earnings Ratio (P/E):** CHTR's P/E ratio is in the 13.54 percentile. This indicates that the company's P/E ratio is lower than about 86% of the S&P 100 stocks.
3. **Price to Book Ratio (P/B):** CHTR's P/B ratio is in the 59.34 percentile. This means the company's P/B ratio is higher than about 59% of the S&P 100 stocks.
4. **Dividend Yield (%):** CHTR's dividend yield is in the 0 percentile. This indicates that the company does not pay a dividend, as it is lower than 100% of the S&P 100 stocks.
5. **Return On Equity (ROE):** CHTR's ROE is in the 82.42 percentile. This means the company's ROE is higher than about 82% of the S&P 100 stocks.
6. **Debt to Equity Ratio:** CHTR's debt to equity ratio is in the 95.24 percentile. This indicates that the company's level of debt relative to its equity is higher than about 95% of the S&P 100 stocks.
7. **Free Cash Flow (in million):** CHTR's free cash flow is in the 40.23 percentile. This means the company's free cash flow is higher than about 40% of the S&P 100 stocks.
8. **Market Capitalization (in million):** CHTR's market capitalization is in the 13 percentile. This indicates that the company's market capitalization is lower than about 87% of the S&P 100 stocks.
9. **Revenue Growth:** CHTR's revenue growth is in the 45.92 percentile. This means the company's revenue growth is higher than about 46% of the S&P 100 stocks.
10. **Operating Margin:** CHTR's operating margin is in the 55.10 percentile. This means the company's operating margin is higher than about 55% of the S&P 100 stocks.
The total percentile score for CHTR across all these measures is 501.76. This aggregate score can give a general idea of the company's overall performance relative to other companies in the S&P 100.
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