Clear Channel Outdoor Holdings Inc Ordinary Shares (CCO)

Industry Advertising Agencies

This stock can be held in an Investment ISA and an Investment Account
Sell

$1.14

Buy

$1.15

arrow-down$-0.0201 (-1.72%)

Clear Channel Outdoor Holdings Inc is a outdoor advertising company. It is engaged in providing advertising opportunities through billboards, street furniture displays, transit displays and other out-of-home advertising displays to its clients.
Prices updated at 21 May 2025, 18:32 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
2,589m2,722m2,684m1,855m1,769m1,382m1,434m1,505m
1,179m1,251m1,232m653m882m793m774m825m
236m260m258m-142m178m279m217m279m
9.139.549.62-7.6610.0520.1615.1218.55
-644m-218m-363m-583m-434m-97m-311m-179m
-270m536m445m122m326m548m473m508m
Sales, General and administrative643m675m665m580m488m231m235m253m
Interest expenses311m388m420m360m349m334m398m402m
Provision for income taxes-280m33m72m-58m-36m-90m-24m-9m
Operating expenses942m991m973m795m704m514m557m545m
Income before taxes-906m-170m-290m-658m-395m-79m-183m-133m
Net income available to common shareholders-644m-218m-363m-583m-434m-97m-311m-179m
-1.77-0.6-0.88-1.25-0.93-0.2-0.65-0.37
Net interest income-311m-388m-420m-360m-349m-334m-398m-402m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-1.77-0.6-0.88-1.25-0.93-0.2-0.65-0.37
Free cash flow per share---0.2694-0.3367-0.6206-0.1168-0.3091-0.1153
Book value/share---4.8156-5.8849-7.0039-7.1067-7.6053-7.3767
Debt equity ratio--------

Balance sheet

20172018201920202021202220232024
Current assets974m1,016m1,202m1,335m1,135m1,121m957m1,659m
Current liabilities658m730m1,181m1,090m1,113m1,122m884m1,272m
Total capital3,268m3,015m2,856m2,757m2,379m2,293m2,168m2,009m
Total debt5,267m5,277m7,032m7,258m7,233m7,126m7,175m7,023m
Total equity-1,998m-2,262m-2,208m-2,793m-3,205m-3,276m-3,463m-3,651m
Total non current liabilities--------
Loans5,266m5,277m5,064m5,551m5,584m5,569m5,631m5,660m
Total assets4,671m4,522m6,393m5,755m5,299m5,086m4,722m4,804m
Total liabilities--------
Cash and cash equivalents144m182m399m785m411m287m252m110m
Common stock364m365m466m467m471m476m483m489m

Cash flow

20172018201920202021202220232024
Cash at beginning of period542m188m203m417m795m420m299m261m
Cash dividends paid-333m-31m-740,000-405,000----
-77m-24m-18m-262m-282m-45m-135m-63m
Investments (gains) losses-176m-204m-220m95m-153m-222m-120m-156m
144m203m417m795m420m299m261m172m
Net income--------
148m187m215m-138m-133m140m31m80m
-224m-211m-232m-124m-148m-185m-167m-142m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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