CROWN CASTLE INC. (CCI)

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CIK 0001051470 · NYSE · Real Estate Investment Trusts

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, CROWN CASTLE INC. reported revenue of $215.00M, up 12.0% from the prior year. The company was profitable, with a net margin of 206.5%. It held $31.52B in total assets against $33.15B in total liabilities.

Key ratios (FY2025)

965.1%
Operating margin
206.5%
Net margin
+12.0%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$215.00M$192.00M$421.00M$697.00M$621.00M$520.00M$670.00M$574.00M$521.00M$688.00M
Cost of Revenue$113.00M$107.00M$304.00M$466.00M$439.00M$448.00M$524.00M$434.00M$399.00M$417.00M
Operating Income$2.08B$2.12B$2.10B$2.42B$2.00B$1.86B$1.56B$1.38B$967.00M$949.00M
Net Income$444.00M-$3.90B$1.50B$1.68B$1.10B$1.06B$860.00M$622.00M$366.00M$357.00M
EPS (Diluted)$1.01$-8.98$3.46$3.86$2.53$2.35$1.79$1.23$0.80$0.95
Total Assets$31.52B$32.74B$38.53B$38.92B$39.04B$38.77B$38.46B$32.76B$32.23B$22.68B
Total Liabilities$33.15B$32.87B$32.15B$31.47B$30.78B$29.31B$27.97B$21.19B$19.89B$15.12B
Shareholders' Equity-$1.64B-$133.00M$6.38B$7.45B$8.26B$9.46B$10.49B$11.57B$11.93B$7.22B
Cash & Equivalents$99.00M$100.00M$105.00M$156.00M$292.00M$232.00M$196.00M$277.00M$314.00M$568.00M
Operating Cash Flow$3.06B$2.94B$3.13B$2.88B$2.79B$3.06B$2.70B$2.50B$2.03B$1.79B
Capital Expenditures$182.00M$176.00M$243.00M$1.31B$1.23B$1.62B$2.06B$1.74B-$1.22B$874.00M
Shares Outstanding435.00M435.00M434.00M433.00M432.00M431.00M416.00M415.00M406.00M360.54M
Dividends Per Share$4.75$6.26$6.26$5.98$5.46$4.93$4.58$4.28$3.90$3.61