bf/NYSE:CCI_icon.jpeg

COM:CROWNCASTLE

Crown Castle

  • Stock

Last Close

104.50

22/11 21:00

Market Cap

45.82B

Beta: -

Volume Today

1.54M

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
93.90M
-
398.77M
324.67%
525.29M
31.73%
356.97M
32.04%
444.55M
24.53%
671M
50.94%
863M
28.61%
1.06B
22.36%
1.16B
9.66%
1.68B
44.65%
1.50B
10.33%
depreciation and amortization
774.22M
-
1.01B
30.85%
1.04B
2.28%
1.11B
6.98%
1.24B
12.07%
1.53B
22.99%
1.57B
3.01%
1.61B
2.16%
1.64B
2.24%
1.71B
3.83%
1.75B
2.75%
deferred income tax
180.28M
-
-25.58M
114.19%
-60.62M
136.98%
8.60M
114.19%
14.89M
73.06%
2M
86.57%
2M
0%
3M
50%
4M
33.33%
3M
25%
8M
166.67%
stock based compensation
39.03M
-
51.50M
31.94%
60.77M
18.01%
79.34M
30.55%
91.65M
15.51%
103M
12.39%
117M
13.59%
138M
17.95%
129M
6.52%
156M
20.93%
157M
0.64%
change in working capital
-3.97M
-
113.65M
2,959.81%
221.04M
94.50%
122.66M
44.51%
221.80M
80.82%
57M
74.30%
124M
117.54%
70M
43.55%
-346M
594.29%
-747M
115.90%
-371M
50.33%
accounts receivables
-96M
-
166M
272.92%
-113M
168.07%
-49M
56.64%
115M
334.69%
inventory
96M
-
-166M
272.92%
113M
168.07%
49M
56.64%
accounts payables
28.66M
-
10.33M
63.97%
-5.29M
151.19%
10.60M
300.49%
-34.07M
421.39%
37M
208.61%
19M
48.65%
-77M
505.26%
15M
119.48%
-5M
133.33%
-14M
180%
other working capital
-32.64M
-
103.32M
416.55%
226.33M
119.06%
112.06M
50.49%
255.87M
128.32%
20M
92.18%
105M
425%
147M
40%
-361M
345.58%
-742M
105.54%
-472M
36.39%
other non cash items
154.21M
-
114.72M
25.60%
14.06M
87.74%
106.14M
654.83%
28.89M
72.78%
141M
387.97%
20M
85.82%
180M
800%
138M
23.33%
84M
39.13%
76M
9.52%
net cash provided by operating activities
1.24B
-
1.67B
34.62%
1.80B
7.84%
1.78B
0.80%
2.04B
14.70%
2.50B
22.40%
2.70B
7.91%
3.06B
13.15%
2.73B
10.74%
2.88B
5.54%
3.13B
8.62%
investments in property plant and equipment
-567.81M
-
-780.08M
37.38%
-908.89M
16.51%
-873.88M
3.85%
-1.23B
40.53%
-1.74B
41.77%
-2.06B
18.27%
-1.62B
21.13%
-1.23B
24.32%
-1.31B
6.59%
-1.42B
8.70%
acquisitions net
-4.96B
-
-466.31M
90.60%
-1.10B
136.36%
-556.85M
49.48%
-9.26B
1,562.94%
-42M
99.55%
-17M
59.52%
-107M
529.41%
-111M
3.74%
-35M
68.47%
-96M
174.29%
purchases of investments
1.10B
-
113.15M
89.75%
sales maturities of investments
54.48M
-
8.14M
85.06%
other investing activites
7.28M
-
3.48M
52.21%
-3.14M
190.25%
12.36M
494.01%
-5.82M
147.03%
-12M
106.36%
-7M
41.67%
-10M
42.86%
8M
180%
-7M
187.50%
1M
114.29%
net cash used for investing activites
-5.52B
-
-1.24B
77.49%
-856.16M
31.12%
-1.30B
51.50%
-10.49B
709.05%
-1.79B
82.90%
-2.08B
16.04%
-1.74B
16.42%
-1.33B
23.49%
-1.35B
1.50%
-1.52B
12.35%
debt repayment
-2.72B
-
-1.65B
39.27%
-2.53B
53.34%
-8.71B
243.80%
-1.96B
77.50%
-4.18B
113.18%
-2.76B
33.96%
-5.26B
90.72%
-4.05B
22.91%
-4.20B
3.65%
-1.10B
73.85%
common stock issued
2.98B
-
1.86B
37.44%
2.79B
49.62%
1.33B
52.48%
4.22B
218.38%
841M
80.08%
4.16B
394.53%
6.16B
48.18%
5.23B
15.14%
-2.34B
-
common stock repurchased
-99.46M
-
-21.87M
78.01%
-29.66M
35.59%
-24.94M
15.92%
-23.31M
6.53%
-34M
45.88%
-44M
29.41%
-76M
72.73%
-70M
7.89%
-65M
7.14%
-30M
53.85%
dividends paid
-3.55B
-
-668.65M
81.14%
-1.16B
73.55%
-1.28B
10.57%
-1.54B
19.91%
-1.90B
23.16%
-2.02B
6.86%
-2.19B
8.15%
-2.37B
8.36%
-2.60B
9.65%
-2.72B
4.65%
other financing activites
7.45B
-
14.11M
99.81%
-3.18M
122.56%
8.59B
269,934.99%
7.49B
12.77%
4.53B
39.54%
-24M
100.53%
92M
483.33%
-42M
145.65%
5.21B
12,492.86%
4.54B
12.81%
net cash used provided by financing activities
4.06B
-
-462.99M
111.39%
-935.48M
102.05%
-96.29M
89.71%
8.20B
8,610.73%
-733M
108.94%
-692M
5.59%
-1.27B
83.67%
-1.31B
3.07%
-1.67B
27.10%
-1.65B
0.66%
effect of forex changes on cash
2.21M
-
-8.01M
462.53%
-1.90M
76.26%
-101K
94.69%
1.18M
1,266.34%
-1M
184.89%
1M
-
net change in cash
-217.97M
-
-47.77M
78.08%
3.19M
106.68%
388.79M
12,087.74%
-253.50M
165.20%
-27M
89.35%
-75M
177.78%
43M
157.33%
85M
97.67%
-139M
263.53%
-46M
66.91%
cash at beginning of period
441.36M
-
223.39M
49.39%
175.62M
21.39%
178.81M
1.82%
567.60M
217.43%
440M
22.48%
413M
6.14%
338M
18.16%
381M
12.72%
466M
22.31%
322M
30.90%
cash at end of period
223.39M
-
175.62M
21.39%
178.81M
1.82%
567.60M
217.43%
314.09M
44.66%
413M
31.49%
338M
18.16%
381M
12.72%
466M
22.31%
327M
29.83%
276M
15.60%
operating cash flow
1.24B
-
1.67B
34.62%
1.80B
7.84%
1.78B
0.80%
2.04B
14.70%
2.50B
22.40%
2.70B
7.91%
3.06B
13.15%
2.73B
10.74%
2.88B
5.54%
3.13B
8.62%
capital expenditure
-567.81M
-
-780.08M
37.38%
-908.89M
16.51%
-873.88M
3.85%
-1.23B
40.53%
-1.74B
41.77%
-2.06B
18.27%
-1.62B
21.13%
-1.23B
24.32%
-1.31B
6.59%
-1.42B
8.70%
free cash flow
669.85M
-
886.05M
32.28%
887.83M
0.20%
908.38M
2.31%
816.12M
10.16%
761M
6.75%
641M
15.77%
1.43B
123.24%
1.50B
4.68%
1.57B
4.67%
1.70B
8.55%

All numbers in (except ratios and percentages)