Caesars Entertainment, Inc. (CZR)

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CIK 0001590895 · Nasdaq · Hotels & Motels

  • Sector Services
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Caesars Entertainment, Inc. reported revenue of $11.49B, up 2.1% from the prior year. The company ran a net loss, with a net margin of -4.4%. It held $31.64B in total assets against $27.95B in total liabilities.

Key ratios (FY2025)

16.2%
Operating margin
-4.4%
Net margin
-14.3%
Return on equity
+2.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$11.49B$11.24B$11.53B$10.82B$9.57B$3.63B$2.53B$2.06B$1.48B$900.47M
Operating Income$1.86B$2.30B$2.47B$1.74B$1.46B-$383.00M$410.00M$310.00M$94.81M$88.70M
Net Income-$502.00M-$278.00M$786.00M-$899.00M-$1.02B-$1.76B$81.00M$95.00M$73.38M$24.53M
EPS (Diluted)$-2.42$-1.29$3.64$-4.19$-4.83$-13.50$1.03$1.22$1.08$0.51
Total Assets$31.64B$32.59B$33.37B$33.53B$38.03B$36.38B$5.64B$5.91B$3.55B$1.29B
Total Liabilities$27.95B$28.21B$28.65B$29.78B$33.49B$31.35B$4.52B$4.88B$2.60B$995.59M
Shareholders' Equity$3.50B$4.16B$4.55B$3.71B$4.48B$5.02B$1.12B$1.03B$941.60M$295.97M
Cash & Equivalents$887.00M$866.00M$1.00B$1.04B$1.07B$1.78B$206.00M$231.00M$134.60M$61.03M
Operating Cash Flow$1.30B$1.07B$1.81B$312.53M$323.28M$129.89M$95.37M
Capital Expenditures$805.00M$1.30B$1.26B$952.00M$520.00M$164.00M$171.00M$147.00M$83.16M$43.17M
Shares Outstanding208.00M215.00M216.00M214.00M211.00M130.00M79.00M78.00M68.10M47.70M