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CHTR Charter Communications

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  • 386.330
  • +9.460+2.51%
Close Apr 29 16:00 ET
  • 385.730
  • -0.600-0.16%
Pre 06:30 ET
54.23BMarket Cap10.78P/E (TTM)

Charter Communications Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
31.88%4.24B
-0.02%14.43B
-10.25%3.46B
-0.99%3.91B
16.37%3.85B
-3.34%3.21B
-3.30%14.43B
1.80%3.86B
4.98%3.94B
-11.33%3.31B
Net income from continuing operations
10.08%1.41B
11.25%5.85B
36.37%1.68B
2.65%1.47B
0.71%1.42B
8.20%1.28B
-10.05%5.26B
-11.26%1.23B
5.05%1.44B
-17.27%1.41B
Depreciation and amortization
-0.41%2.18B
-0.26%8.67B
-0.91%2.17B
0.70%2.15B
-0.09%2.17B
-0.73%2.19B
-2.33%8.7B
-0.18%2.19B
-2.16%2.13B
-3.04%2.17B
Deferred tax
-228.57%-27M
-8.75%-87M
-297.06%-135M
258.82%61M
15.00%-34M
191.30%21M
-191.95%-80M
56.41%-34M
-66.00%17M
-151.95%-40M
Other non cash items
947.83%241M
24.76%388M
15.12%99M
394.12%168M
8.89%98M
-77.23%23M
2,491.67%311M
-37.23%86M
-2.86%34M
166.18%90M
Change In working capital
140.70%210M
-134.45%-1.05B
-307.69%-486M
-154.60%-89M
108.74%43M
-46.59%-516M
-12.88%-447M
470.73%234M
757.89%163M
-89.96%-492M
-Change in receivables
-23.08%-48M
-193.18%-129M
9.09%-30M
2.94%-66M
146.15%6M
-155.71%-39M
87.13%-44M
58.75%-33M
-9.68%-68M
94.78%-13M
-Change in prepaid assets
35.79%-235M
-6.47%-609M
-89.47%-72M
-57.23%-272M
504.00%101M
-8.93%-366M
-183.17%-572M
64.15%-38M
-567.57%-173M
-148.08%-25M
-Change in payables and accrued expense
544.14%493M
-283.43%-310M
-225.90%-384M
-38.37%249M
85.90%-64M
-29.07%-111M
14.19%169M
34.36%305M
818.18%404M
-632.26%-454M
Cash from discontinued investing activities
Operating cash flow
31.88%4.24B
-0.02%14.43B
-10.25%3.46B
-0.99%3.91B
16.37%3.85B
-3.34%3.21B
-3.30%14.43B
1.80%3.86B
4.98%3.94B
-11.33%3.31B
Investing cash flow
Cash flow from continuing investing activities
3.54%-2.8B
4.25%-10.65B
2.46%-2.58B
15.72%-2.44B
4.25%-2.73B
-6.13%-2.91B
-22.09%-11.13B
4.48%-2.64B
-27.83%-2.89B
-24.18%-2.85B
Capital expenditure reported
-333.33%-273M
----
----
----
----
67.69%-63M
----
----
----
--191M
Net PPE purchase and sale
14.05%-2.4B
-1.39%-11.27B
-7.21%-3.06B
13.44%-2.56B
-0.67%-2.85B
-13.27%-2.79B
-18.55%-11.12B
2.19%-2.86B
-23.07%-2.96B
-29.23%-2.83B
Net other investing changes
-149.06%-132M
5,225.00%615M
127.83%483M
96.83%124M
129.47%61M
33.75%-53M
-104.58%-12M
-51.38%212M
144.37%63M
-125.00%-207M
Cash from discontinued investing activities
Investing cash flow
3.54%-2.8B
4.25%-10.65B
2.46%-2.58B
15.72%-2.44B
4.25%-2.73B
-6.13%-2.91B
-22.09%-11.13B
4.48%-2.64B
-27.83%-2.89B
-24.18%-2.85B
Financing cash flow
Cash flow from continuing financing activities
-203.68%-1.07B
-22.73%-3.98B
-4.85%-1.13B
-41.90%-1.36B
-121.08%-1.14B
49.21%-353M
43.78%-3.24B
-25.64%-1.07B
36.03%-957M
84.74%-517M
Net issuance payments of debt
-146.34%-95M
-2,271.77%-2.69B
-1,341.46%-1.18B
-1,157.94%-1.35B
-625.49%-370M
-43.68%205M
-98.04%124M
-117.71%-82M
-109.03%-107M
-105.51%-51M
Net common stock issuance
-55.43%-802M
62.27%-1.21B
90.45%-114M
71.65%-222M
-10.74%-361M
43.42%-516M
68.72%-3.22B
-15.70%-1.19B
64.81%-783M
91.16%-326M
Proceeds from stock option exercised by employees
750.00%17M
45.45%32M
200.00%3M
68.75%27M
--0
0.00%2M
340.00%22M
--1M
--16M
-25.00%3M
Net other financing activities
-336.36%-192M
39.31%-105M
-16.83%168M
320.48%183M
-188.11%-412M
70.47%-44M
90.53%-173M
170.88%202M
81.80%-83M
77.27%-143M
Cash from discontinued financing activities
Financing cash flow
-203.68%-1.07B
-22.73%-3.98B
-4.85%-1.13B
-41.90%-1.36B
-121.08%-1.14B
49.21%-353M
43.78%-3.24B
-25.64%-1.07B
36.03%-957M
84.74%-517M
Net cash flow
Beginning cash position
-28.63%506M
9.92%709M
31.35%750M
34.31%642M
23.78%661M
9.92%709M
7.32%645M
18.96%571M
-1.04%478M
-78.03%534M
Current changes in cash
850.00%360M
-417.19%-203M
-276.81%-244M
16.13%108M
66.07%-19M
56.76%-48M
45.45%64M
-16.36%138M
3,200.00%93M
97.13%-56M
End cash Position
31.01%866M
-28.63%506M
-28.63%506M
31.35%750M
34.31%642M
23.78%661M
9.92%709M
9.92%709M
18.96%571M
-1.04%478M
Free cash flow
336.87%1.56B
-4.73%3.16B
-60.16%398M
35.97%1.34B
59.13%1.06B
-46.08%358M
-40.21%3.32B
71.36%999M
-39.63%987M
-56.37%668M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 31.88%4.24B-0.02%14.43B-10.25%3.46B-0.99%3.91B16.37%3.85B-3.34%3.21B-3.30%14.43B1.80%3.86B4.98%3.94B-11.33%3.31B
Net income from continuing operations 10.08%1.41B11.25%5.85B36.37%1.68B2.65%1.47B0.71%1.42B8.20%1.28B-10.05%5.26B-11.26%1.23B5.05%1.44B-17.27%1.41B
Depreciation and amortization -0.41%2.18B-0.26%8.67B-0.91%2.17B0.70%2.15B-0.09%2.17B-0.73%2.19B-2.33%8.7B-0.18%2.19B-2.16%2.13B-3.04%2.17B
Deferred tax -228.57%-27M-8.75%-87M-297.06%-135M258.82%61M15.00%-34M191.30%21M-191.95%-80M56.41%-34M-66.00%17M-151.95%-40M
Other non cash items 947.83%241M24.76%388M15.12%99M394.12%168M8.89%98M-77.23%23M2,491.67%311M-37.23%86M-2.86%34M166.18%90M
Change In working capital 140.70%210M-134.45%-1.05B-307.69%-486M-154.60%-89M108.74%43M-46.59%-516M-12.88%-447M470.73%234M757.89%163M-89.96%-492M
-Change in receivables -23.08%-48M-193.18%-129M9.09%-30M2.94%-66M146.15%6M-155.71%-39M87.13%-44M58.75%-33M-9.68%-68M94.78%-13M
-Change in prepaid assets 35.79%-235M-6.47%-609M-89.47%-72M-57.23%-272M504.00%101M-8.93%-366M-183.17%-572M64.15%-38M-567.57%-173M-148.08%-25M
-Change in payables and accrued expense 544.14%493M-283.43%-310M-225.90%-384M-38.37%249M85.90%-64M-29.07%-111M14.19%169M34.36%305M818.18%404M-632.26%-454M
Cash from discontinued investing activities
Operating cash flow 31.88%4.24B-0.02%14.43B-10.25%3.46B-0.99%3.91B16.37%3.85B-3.34%3.21B-3.30%14.43B1.80%3.86B4.98%3.94B-11.33%3.31B
Investing cash flow
Cash flow from continuing investing activities 3.54%-2.8B4.25%-10.65B2.46%-2.58B15.72%-2.44B4.25%-2.73B-6.13%-2.91B-22.09%-11.13B4.48%-2.64B-27.83%-2.89B-24.18%-2.85B
Capital expenditure reported -333.33%-273M----------------67.69%-63M--------------191M
Net PPE purchase and sale 14.05%-2.4B-1.39%-11.27B-7.21%-3.06B13.44%-2.56B-0.67%-2.85B-13.27%-2.79B-18.55%-11.12B2.19%-2.86B-23.07%-2.96B-29.23%-2.83B
Net other investing changes -149.06%-132M5,225.00%615M127.83%483M96.83%124M129.47%61M33.75%-53M-104.58%-12M-51.38%212M144.37%63M-125.00%-207M
Cash from discontinued investing activities
Investing cash flow 3.54%-2.8B4.25%-10.65B2.46%-2.58B15.72%-2.44B4.25%-2.73B-6.13%-2.91B-22.09%-11.13B4.48%-2.64B-27.83%-2.89B-24.18%-2.85B
Financing cash flow
Cash flow from continuing financing activities -203.68%-1.07B-22.73%-3.98B-4.85%-1.13B-41.90%-1.36B-121.08%-1.14B49.21%-353M43.78%-3.24B-25.64%-1.07B36.03%-957M84.74%-517M
Net issuance payments of debt -146.34%-95M-2,271.77%-2.69B-1,341.46%-1.18B-1,157.94%-1.35B-625.49%-370M-43.68%205M-98.04%124M-117.71%-82M-109.03%-107M-105.51%-51M
Net common stock issuance -55.43%-802M62.27%-1.21B90.45%-114M71.65%-222M-10.74%-361M43.42%-516M68.72%-3.22B-15.70%-1.19B64.81%-783M91.16%-326M
Proceeds from stock option exercised by employees 750.00%17M45.45%32M200.00%3M68.75%27M--00.00%2M340.00%22M--1M--16M-25.00%3M
Net other financing activities -336.36%-192M39.31%-105M-16.83%168M320.48%183M-188.11%-412M70.47%-44M90.53%-173M170.88%202M81.80%-83M77.27%-143M
Cash from discontinued financing activities
Financing cash flow -203.68%-1.07B-22.73%-3.98B-4.85%-1.13B-41.90%-1.36B-121.08%-1.14B49.21%-353M43.78%-3.24B-25.64%-1.07B36.03%-957M84.74%-517M
Net cash flow
Beginning cash position -28.63%506M9.92%709M31.35%750M34.31%642M23.78%661M9.92%709M7.32%645M18.96%571M-1.04%478M-78.03%534M
Current changes in cash 850.00%360M-417.19%-203M-276.81%-244M16.13%108M66.07%-19M56.76%-48M45.45%64M-16.36%138M3,200.00%93M97.13%-56M
End cash Position 31.01%866M-28.63%506M-28.63%506M31.35%750M34.31%642M23.78%661M9.92%709M9.92%709M18.96%571M-1.04%478M
Free cash flow 336.87%1.56B-4.73%3.16B-60.16%398M35.97%1.34B59.13%1.06B-46.08%358M-40.21%3.32B71.36%999M-39.63%987M-56.37%668M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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