Crown Castle Financial Ratios for Analysis 2009-2024 | CCI

Fifteen years of historical annual and quarterly financial ratios and margins for Crown Castle (CCI).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.400.450.620.560.630.820.881.381.151.381.181.281.491.241.59
0.780.740.710.670.630.590.570.620.630.640.620.790.720.710.66
3.592.922.502.041.731.441.311.611.711.771.673.932.562.452.02
71.6470.4068.5666.2865.5465.6663.7463.2563.9363.0865.4270.0371.0569.0567.40
33.9434.7131.5631.9027.0525.7522.7324.2025.8226.5830.7334.3134.0630.6325.75
33.9434.7131.5631.9027.0525.7522.7324.2025.8226.5830.7334.3134.0630.6325.75
59.4859.3957.7059.5454.3554.3252.1052.8455.1256.7260.0664.4066.3263.9660.82
21.8924.2118.6018.4215.2911.949.219.5412.939.478.764.148.85-18.00-11.30
21.5223.9817.2917.1112.969.487.248.2640.319.792.757.647.29-17.66-8.02
0.180.180.160.150.150.160.130.170.170.170.140.150.190.180.15
---------------
14.5111.7811.6813.559.6710.7210.6910.5011.6911.2911.4712.6226.3131.3637.93
25.1530.9831.2626.9437.7534.0534.1434.7731.2132.3231.8328.9313.8711.649.62
23.5422.4914.0211.168.205.382.974.727.415.140.866.817.18-12.73-3.89
-39.94-62.11-61.47-20.91-19.44-15.46-10.04-19.29-23.83-16.18-2.95-6.46-11.2719.6810.02
3.904.302.972.722.241.901.141.572.391.640.291.251.63-2.97-1.04
5.285.914.023.693.022.211.291.822.751.870.331.451.80-3.27-1.19
14.7017.2019.1221.9525.2127.8830.3920.9621.2420.1820.7810.079.469.5011.11
7.206.636.437.196.456.025.315.245.374.803.912.652.252.101.99
3.923.613.593.371.531.832.132.682.652.532.131.141.031.311.39

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.540.430.420.400.440.500.520.450.460.690.710.620.670.660.610.560.621.750.470.630.720.760.760.820.960.910.900.887.130.951.021.380.940.931.011.151.241.431.131.381.161.191.201.181.471.371.361.281.461.513.871.491.391.341.311.241.131.171.301.591.051.011.68
0.820.800.790.780.770.750.750.740.730.730.720.710.700.700.690.670.670.680.640.630.610.600.590.590.570.560.550.570.540.640.650.620.650.640.620.630.620.600.650.640.630.630.620.620.780.790.780.790.740.740.750.720.730.720.710.710.710.690.680.660.660.650.67
4.544.203.873.593.413.183.092.922.802.712.632.502.392.312.232.042.032.151.851.731.581.521.471.441.341.271.231.311.201.821.831.611.861.791.661.711.681.501.841.771.691.681.671.673.603.693.663.932.852.933.082.562.652.542.422.452.452.282.132.021.941.942.10
72.1671.7771.7272.9470.8572.0470.7370.4669.9970.3670.7868.2668.3668.7968.8965.0467.2366.2566.6466.0665.2565.3165.5564.6465.5365.8666.6763.2763.5064.0764.1761.9563.1163.7764.3063.8463.6463.7164.5661.3962.7762.5565.6465.2864.7666.0965.5567.7570.1770.6572.0271.3471.4370.6170.8269.1970.3368.1268.4866.9268.1867.2167.30
32.9329.8332.7835.1329.1535.7335.4234.6934.4834.2035.4831.5632.5131.9030.1745.6829.2126.6025.6226.6528.5426.8826.0724.1626.1125.9426.8716.8724.5524.9525.1025.3724.6224.0222.6624.2925.1426.7627.2026.1226.7724.7328.7230.0529.7531.2931.7630.9635.5334.6736.6534.0435.4033.4133.3531.4632.3629.1329.3426.9327.6924.0324.14
32.9329.8332.7835.1329.1535.7335.4234.6934.4834.2035.4831.5632.5131.9030.1745.6829.2126.6025.6226.6528.5426.8826.0724.1626.1125.9426.8716.8724.5524.9525.1025.3724.6224.0222.6624.2925.1426.7627.2026.1226.7724.7328.7230.0529.7531.2931.7630.9635.5334.6736.6534.0435.4033.4133.3531.4632.3629.1329.3426.9327.6924.0324.14
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18.6415.8719.3822.0416.3224.7523.9723.5824.1724.5724.5121.4022.1321.428.6234.2911.3114.3113.3715.0816.6715.2014.1312.3712.2913.919.082.9911.1011.2712.1112.4910.429.355.5310.6410.9518.0512.2512.6810.882.5311.717.1910.7412.244.65-11.9112.158.3110.329.5310.557.357.887.39-29.62-22.43-29.204.65-12.35-40.672.12
18.3415.4418.9521.7415.9024.3723.5823.4724.0024.2824.1721.3421.6921.103.9133.9610.9711.9411.0512.6214.4412.9911.729.889.8911.436.62-0.708.0010.7911.7112.088.817.803.9413.7510.1112712.4115.3710.752.6210.33-5.446.127.122.09-2.896.7719.818.598.458.515.136.987.19-29.10-22.52-28.012.92-8.59-28.451.33
0.040.040.040.040.040.050.050.050.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.040.030.040.040.050.040.040.040.040.040.040.040.040.040.040.040.030.050.050.050.040.050.050.050.050.050.050.050.050.050.040.040.040.040.040.04
---------------------------------------------------------------
4.003.874.323.483.263.763.142.973.263.363.463.053.283.653.603.463.273.282.872.392.222.452.582.732.922.923.232.863.343.393.362.763.594.203.673.022.833.553.082.852.862.893.572.573.173.663.483.504.394.726.916.727.938.769.308.288.739.3010.779.9812.8511.4112.03
22.5023.2520.8425.8627.6423.9128.6830.2627.5826.7825.9929.5527.4224.6724.9725.9827.5627.4431.3537.6240.5136.7634.8433.0130.8330.7927.8531.4826.9126.5326.8132.5725.0621.4224.5329.8131.8225.3529.2431.6231.4331.1525.2335.0528.3824.6225.8725.7520.4819.0813.0313.3911.3410.279.6810.8610.319.688.369.027.007.897.48
5.724.445.145.703.976.465.795.565.465.365.244.274.123.821.365.371.722.041.831.992.141.871.641.421.331.430.890.160.911.481.621.651.461.240.672.011.442.251.701.771.440.371.48-0.821.551.820.56-0.331.474.091.842.052.221.311.631.67-5.68-3.93-4.440.64-1.09-3.820.36
-3.95-3.39-4.37-5.29-3.96-7.08-6.57-15.35-6.86-6.96-7.04-18.74-6.18-5.96-2.21-10.06-3.19-4.10-3.94-4.72-6.50-5.95-5.50-4.08-4.82-5.56-3.68-0.556.11-3.41-3.89-6.74-3.60-3.34-2.29-6.48-4.91-12.00-4.84-5.56-4.90-1.28-5.152.78-1.57-1.74-0.540.31-1.94-5.09-3.10-3.22-3.16-1.95-2.63-2.598.096.358.73-1.652.479.13-0.71
0.800.660.810.940.681.171.071.061.081.081.080.900.900.850.311.310.420.490.480.540.630.570.510.500.500.560.350.060.370.460.500.550.440.390.220.650.470.790.530.560.480.120.50-0.270.300.350.11-0.060.340.930.410.460.490.300.390.39-1.27-0.94-1.130.17-0.30-1.060.09
1.050.881.091.280.931.591.451.461.481.451.451.231.221.160.421.780.570.650.660.730.830.750.670.580.570.630.400.070.410.530.570.640.510.450.250.750.540.900.600.640.540.140.56-0.310.340.390.12-0.070.381.050.450.510.540.330.420.43-1.45-1.06-1.270.19-0.34-1.210.11
12.1712.9913.9014.7015.3716.2416.6417.2017.7318.1518.5619.1219.7120.1720.6621.9522.0523.5624.2725.2127.2227.7028.2427.8829.6330.2830.9230.3931.1920.7320.3820.9620.0120.5821.1921.2421.6922.1819.6520.1820.5620.6120.7820.7810.249.9910.0910.0710.049.789.349.469.209.369.569.509.279.6410.3111.1110.8811.1410.64
4.743.141.387.205.203.971.406.634.703.081.296.434.743.161.357.194.833.361.566.454.522.941.236.024.272.671.105.313.562.541.225.243.862.711.315.373.872.751.364.803.452.171.093.912.881.910.982.651.801.110.572.251.600.990.442.101.420.870.291.991.370.940.41
2.571.650.643.922.742.320.613.612.571.740.643.592.681.760.653.371.941.310.491.530.840.550.081.831.280.840.202.131.411.010.502.682.041.550.732.651.901.490.752.531.961.270.662.131.561.040.581.140.830.570.341.030.670.580.261.310.910.550.171.391.000.680.28