Reported Q: Q2 2025 Rev YoY: +0.6% EPS YoY: +9.6% Move: +0.07%
Charter Communications
0HW4.L
$237.29 0.07%
Exchange LSE Sector Technology Industry Media Entertainment
Q2 2025
Published: Jul 25, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for 0HW4.L

Reported

Report Date

Jul 25, 2025

Quarter Q2 2025

Revenue

13.77B

YoY: +0.6%

EPS

9.18

YoY: +9.6%

Market Move

+0.07%

Previous quarter: Q1 2025

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Earnings Highlights

  • Revenue of $13.77B up 0.6% year-over-year
  • EPS of $9.18 increased by 9.6% from previous year
  • Gross margin of 46.4%
  • Net income of 1.30B
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0HW4.L
Company 0HW4.L

Executive Summary

Charter reported solid topline stability for QQ2 2025 with revenue of $13.766 billion, up 0.59% year-over-year and 0.23% quarter-over-quarter, underscoring a resilient demand base in a competitive U.S. broadband and video market. Gross profit rose 15.7% YoY to approximately $6.392 billion, driven by favorable product mix and continued cost discipline, while gross margin held near 46.4%. Operating income stood at $3.36 billion, delivering an operating margin of about 24.4%. Net income reached $1.301 billion with EPS of $9.41, up roughly 5.7% YoY and 6.9% QoQ, supported by a relatively stable interest expense and tax rate. However, Charter continues to operate with a very high leverage profile: total debt around $96.28 billion and net debt near $95.68 billion, yielding an equity multiplier above 9x and a debt-to-capitalization of approximately 0.856. EBITDA of $5.348 billion and cash flow contributions point to meaningful cash generation, yet cash from operations, capex, and resulting free cash flow ($0.726 billion) reflect substantial funding needs to sustain large-scale broadband and video infrastructure. Management commentary (where available) did not reveal explicit QQ2 2025 forward guidance in the provided data; in this context, the quarter reinforces Charter’s ability to generate steady EBITDA and cash flow while maintaining capex intensity to support long-term network advantages. Investors should weigh the reliability of cash generation against elevated leverage, refinancing risk, and ongoing capital expenditure requirements in a competitive, regulatory-influenced landscape.

Key Performance Indicators

Revenue
Increasing
13.77B
QoQ: 0.23% | YoY: 0.59%
Gross Profit
Increasing
6.39B
46.43% margin
QoQ: 0.22% | YoY: 15.71%
Operating Income
Increasing
3.36B
QoQ: 0.00% | YoY: 0.54%
Net Income
Increasing
1.30B
QoQ: 6.90% | YoY: 5.69%
EPS
Increasing
9.41
QoQ: 9.55% | YoY: 9.55%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q4 2025 13,601.00 10.34 -2.3% View
Q3 2025 13,553.00 9.83 -1.8% View
Q2 2025 13,766.00 9.18 +0.6% View
Q1 2025 13,735.00 8.42 +0.4% View
Q4 2024 13,926.00 10.09 +1.6% View