av/american-tower--big.svg

NYSE:AMT

American Tower

  • Stock

USD

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%

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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)