LAMAR ADVERTISING CO/NEW (LAMR)

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CIK 0001090425 · Nasdaq · Real Estate Investment Trusts

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

In fiscal 2025, LAMAR ADVERTISING CO/NEW reported revenue of $2.27B, up 2.7% from the prior year. The company was profitable, with a net margin of 25.9%. It held $6.93B in total assets against $5.91B in total liabilities.

Key ratios (FY2025)

34.2%
Operating margin
25.9%
Net margin
57.3%
Return on equity
+2.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$2.27B$2.21B$2.11B$2.03B$1.79B$1.57B$1.75B$1.63B$1.54B$1.50B
Cost of Revenue$746.86M$727.88M$696.80M$667.29M$576.51M$557.66M$590.08M$561.85M$540.88M$525.60M
Operating Income$774.06M$532.04M$675.43M$578.00M$521.19M$410.11M$517.74M$460.56M$455.37M$439.05M
Net Income$587.15M$361.87M$495.76M$438.65M$388.09M$243.39M$372.11M$305.23M$317.68M$298.81M
EPS (Diluted)$5.77$3.52$4.85$4.31$3.83$2.41$3.71$3.08$3.23$3.05
Total Assets$6.93B$6.59B$6.56B$6.48B$6.05B$5.79B$5.94B$4.54B$4.21B$3.90B
Total Liabilities$5.91B$5.54B$5.35B$5.28B$4.83B$4.59B$4.76B$3.41B$3.11B$2.83B
Shareholders' Equity$1.02B$1.05B$1.22B$1.20B$1.22B$1.20B
Cash & Equivalents$64.81M$49.46M$44.60M$52.62M$99.79M$121.57M$26.19M$21.49M$115.47M$35.53M
Operating Cash Flow$864.05M$873.61M$783.61M$781.61M$734.42M$569.87M$630.87M$564.85M$507.02M$521.82M
Capital Expenditures$180.80M$125.28M$178.27M$167.08M$126.09M$62.27M$140.96M$117.64M$109.33M$107.61M
Shares Outstanding101.63M102.56M102.11M101.63M101.35M100.90M100.32M99.09M98.37M97.69M
Dividends Per Share$6.45$5.65$5.00$5.00$4.00$2.50$3.84$3.65$3.32$3.02