NYSE:AMT
American Tower
- Stock
Last Close
178.09
06/11 21:58
Market Cap
91.89B
Beta: 0.57
Volume Today
2.25M
Avg: 2.05M
PE Ratio
129.46
PFCF: 31.15
Dividend Yield
3.41%
Payout:422.07%
Preview
Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page
Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 803.20M - | 672.01M 16.33% | 970.36M 44.40% | 1.23B 26.28% | 1.26B 3.21% | 1.92B 51.55% | 1.69B 11.74% | 2.57B 51.79% | 1.70B 33.92% | 1.48B 12.58% | |
depreciation and amortization | 1.00B - | 1.29B 28.05% | 1.53B 18.70% | 1.72B 12.47% | 2.11B 23.01% | 1.80B 14.92% | 1.87B 4.21% | 2.33B 24.64% | 3.36B 43.84% | 3.09B 8.01% | |
deferred income tax | 1.38M - | 7.76M 460.98% | 26.96M 247.21% | -86.60M 421.25% | -303M 249.88% | -55.10M 81.82% | -22.50M 59.17% | -41.20M 83.11% | -236.70M 474.51% | -182M 23.11% | |
stock based compensation | 80.15M - | 90.54M 12.96% | 89.90M 0.71% | 108.50M 20.69% | 137.50M 26.73% | 111.40M 18.98% | 120.80M 8.44% | 119.50M 1.08% | 169.30M 41.67% | 195.70M 15.59% | |
change in working capital | 157.27M - | -135.29M 186.02% | -103.81M 23.27% | -352.20M 239.28% | -14M 96.02% | -250.40M 1,688.57% | -423.60M 69.17% | 134.80M 131.82% | -1.61B 1,294.29% | -813.90M 49.44% | |
accounts receivables | -84.53M - | -56.31M 33.38% | 11.35M 120.16% | -191.10M 1,783.40% | -32.10M 83.20% | 12.50M 138.94% | -175.50M 1,504% | -191.70M 9.23% | -78.60M 59.00% | -34.50M 56.11% | |
inventory | 283.41M - | -92.06M 132.48% | -13.66M 85.16% | -124.80M 813.68% | -107.30M 14.02% | -32.60M 69.62% | 143.10M 538.96% | 15.10M 89.45% | 46.40M - | ||
accounts payables | 34.71M - | 95.86M 176.16% | -42.86M 144.71% | 95.80M 323.51% | 69.30M 27.66% | -46.80M 167.53% | -69.20M 47.86% | 33.20M 147.98% | -48.20M 245.18% | -11.90M 75.31% | |
other working capital | -76.33M - | -82.77M 8.44% | -58.64M 29.15% | -132.10M 125.27% | 56.10M 142.47% | -183.50M 427.09% | -322M 75.48% | 278.20M 186.40% | -1.48B 633.11% | -813.90M 45.12% | |
other non cash items | 88.78M - | 262.70M 195.89% | 194.56M 25.94% | 314.60M 61.69% | 552.30M 75.56% | 234.30M 57.58% | 643.80M 174.78% | -293.40M 145.57% | 321.70M 209.65% | 952.80M 196.18% | |
net cash provided by operating activities | 2.13B - | 2.18B 2.27% | 2.70B 23.85% | 2.93B 8.21% | 3.75B 28.12% | 3.75B 0.11% | 3.88B 3.43% | 4.82B 24.18% | 3.70B 23.31% | 4.72B 27.76% | |
investments in property plant and equipment | -974.40M - | -728.75M 25.21% | -682.50M 6.35% | -803.60M 17.74% | -913.20M 13.64% | -991.30M 8.55% | -1.03B 4.08% | -1.38B 33.44% | -1.87B 36.09% | -1.80B 4.03% | |
acquisitions net | -1.01B - | -1.96B 94.04% | -1.42B 27.77% | -2.01B 41.70% | -1.88B 6.26% | -2.96B 57.31% | -3.80B 28.37% | -19.30B 408.12% | -549M 97.16% | -163.90M 70.15% | |
purchases of investments | -1.40B - | -1.02B 26.70% | -750K 99.93% | -1.15B - | -355.90M 69.17% | -25M - | -17.30M - | ||||
sales maturities of investments | 1.43B - | 1.03B 28.05% | 13.06M 98.74% | 14.70M 12.59% | 1.25B 8,418.37% | 383.50M 69.37% | 19.60M 94.89% | 14.30M 27.04% | 19.60M 37.06% | 17.30M 11.73% | |
other investing activites | -4.02M - | -5.06B 125,743.61% | -20.87M 99.59% | -5M 76.05% | -52.80M 956% | -64.20M 21.59% | 26.60M 141.43% | -900K 103.38% | 47.80M 5,411.11% | 270.60M 466.11% | |
net cash used for investing activites | -1.95B - | -7.74B 297.10% | -2.11B 72.78% | -2.80B 32.90% | -2.75B 1.84% | -3.99B 45.03% | -4.78B 19.99% | -20.69B 332.48% | -2.36B 88.62% | -1.69B 28.18% | |
debt repayment | -3.91B - | -6.48B 65.50% | -5.09B 21.38% | -6.56B 28.78% | -4.89B 25.48% | -9.25B 89.16% | -13.94B 50.80% | -13.25B 4.96% | -9.63B 27.37% | -1.28B 86.67% | |
common stock issued | 583.11M - | 2.44B 318.51% | 8.15B - | 5.45B 33.19% | 12.03B 120.89% | 18.19B 51.21% | 2.36B 87.02% | 2.29B 2.97% | 1.32B 42.31% | ||
common stock repurchased | -59.11M - | 9.57B 16,291.86% | -766.30M - | -232.80M 69.62% | -19.60M 91.58% | -56M 185.71% | 27.06B 48,425.54% | -18.80M 100.07% | |||
dividends paid | -420.64M - | -795.50M 89.11% | -993.24M 24.86% | -1.16B 17.23% | -1.34B 15.29% | -1.60B 19.41% | -1.93B 20.29% | -2.27B 17.78% | -2.63B 15.83% | -2.95B 12.12% | |
other financing activites | 3.68B - | 852.18M 76.82% | 5.99B 602.64% | 224.30M 96.25% | 408.50M 82.12% | -641.60M 257.06% | -1.05B 63.73% | 2.52B 340.22% | 8.56B 239.20% | -191M 102.23% | |
net cash used provided by financing activities | -134.59M - | 5.59B 4,252.66% | -99.29M 101.78% | -113M 13.80% | -607.70M 437.79% | 521.70M 185.85% | 1.22B 132.95% | 16.42B 1,251.48% | -1.42B 108.67% | -3.10B 117.92% | |
effect of forex changes on cash | -30.53M - | -23.22M 23.94% | -30.39M 30.85% | 6.70M 122.05% | -41.10M 713.43% | -13.70M 66.67% | -28.70M 109.49% | -70.30M 144.95% | -120.40M 71.27% | 23.20M 119.27% | |
net change in cash | 19.92M - | 7.19M 63.88% | 466.48M 6,384.22% | 18.40M 96.06% | 350M 1,802.17% | 273.10M 21.97% | 283.40M 3.77% | 481.90M 70.04% | -202.60M 142.04% | -47.30M 76.65% | |
cash at beginning of period | 293.58M - | 313.49M 6.78% | 320.69M 2.29% | 936.50M 192.03% | 954.90M 1.96% | 1.30B 36.65% | 1.58B 20.93% | 1.86B 17.96% | 2.34B 25.89% | 2.14B 8.65% | |
cash at end of period | 313.49M - | 320.69M 2.29% | 787.16M 145.46% | 954.90M 21.31% | 1.30B 36.65% | 1.58B 20.93% | 1.86B 17.96% | 2.34B 25.89% | 2.14B 8.65% | 2.09B 2.21% | |
operating cash flow | 2.13B - | 2.18B 2.27% | 2.70B 23.85% | 2.93B 8.21% | 3.75B 28.12% | 3.75B 0.11% | 3.88B 3.43% | 4.82B 24.18% | 3.70B 23.31% | 4.72B 27.76% | |
capital expenditure | -974.40M - | -728.75M 25.21% | -682.50M 6.35% | -803.60M 17.74% | -913.20M 13.64% | -991.30M 8.55% | -1.03B 4.08% | -1.38B 33.44% | -1.87B 36.09% | -1.80B 4.03% | |
free cash flow | 1.16B - | 1.45B 25.35% | 2.02B 38.97% | 2.12B 4.99% | 2.84B 33.61% | 2.76B 2.60% | 2.85B 3.20% | 3.44B 20.83% | 1.82B 47.07% | 2.92B 60.45% |
All numbers in USD (except ratios and percentages)