Charter Communications
CHTR
$140.33 -5.18% Quote
Exchange NASDAQ Sector Communication Services Industry Telecommunications Services
Q4 2024
Reported
Published: Jan 31, 2025

Data: Financial Modeling Prep

Company Status Snapshot

Fast view of the latest quarter outcome for CHTR

Report Date

Jan 31, 2025

Quarter Q4 2024

Revenue

13.93B

YoY: +1.6%

EPS

10.09

YoY: +42.7%

Market Move

-5.18%

Previous quarter: Q3 2024

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Earnings Highlights

Gross Margin

100.0%

Net Income

1.47B

YoY: +38.6%

"We added over 2 million Spectrum Mobile lines in 2024. We're the fastest growing mobile provider in the US with the fastest connectivity at the best price."

— Chris Winfrey
CHTR
Company CHTR

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Executive Summary

Charter reported solid topline performance in Q4 2024 with revenue up 1.6% year over year, supported by continued mobile growth and pricing/packaging initiatives, even as the end of ACP and hurricane-related disruptions created near-term headwinds. Full-year 2024 results showed revenue up 1% with EBITDA up 3.1%, underscoring the companyโ€™s ability to translate mobile and converged connectivity investments into earnings growth. Management emphasized a peak capital expenditure cycle in 2024โ€“2025, followed by a meaningful downshift to a run-rate below $8 billion per year after 2025, which they estimate could unlock roughly $25 of annual free cash flow per share by 2028 given the current share count. The call also highlighted strategic progress in network evolution (DOCSIS 4.0 progress via high-split architecture), the relaunch of Spectrum Life Unlimited branding, and the accelerated rural passings program, with 813,000 subsidized rural passings at year end and a guided 450,000 rural passings growth in 2025. Hurricanes Helene and Milton imposed one-time impacts in Q4 2024 and Q1 2025, including adjusted EBITDA reductions and incremental capex. Collectively, Charterโ€™s narrative remains focused on a virtuous cycle: faster, higher-value connectivity products; better customer service and retention; higher product penetration per household; lower per-customer cost; and a capital allocation strategy that targets free cash flow growth and shareholder returns through buybacks when leverage permits.

Key Performance Indicators

Revenue
Increasing
13.93B
QoQ: 0.95% | YoY: 1.57%
Gross Profit
Increasing
13.93B
1.00% margin
QoQ: 154.12% | YoY: 53.47%
Operating Income
Increasing
3.39B
QoQ: 1.62% | YoY: 3.73%
Net Income
Increasing
1.47B
QoQ: 14.53% | YoY: 38.56%
EPS
Increasing
10.32
QoQ: 14.79% | YoY: 42.74%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 13,597.00 9.17 -0.6% View
Q1 2025 13,735.00 8.42 +0.4% View
Q4 2024 13,926.00 10.09 +1.6% View
Q3 2024 13,795.00 8.82 +1.6% View
Q2 2024 13,685.00 8.49 +0.2% View