Crown Castle Inc. CCI

67.84 0.21 0.31% as of 25 Sep
Market cap
$28.7B
P/E
34.3×
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Crown Castle Inc. (CCI) Free cash flow

Crown Castle Inc.'s free cash flow for fiscal 2025 was $2.9B, unchanged from fiscal 2024. Over the twelve months to 30 June 2026 it was $2.4B. Over the past ten years it has ranged from $641.0M (fiscal 2019) to $2.9B (fiscal 2023); the current reading is higher than 91% of that period. Crown Castle Inc. ranks 3rd of 18 Reit Specialty companies by free cash flow.

Free cash flow, annual

Annual

Period Free cash flow Change
FY2025 $2.9B 3.90%
FY2024 $2.8B (4.02%)
FY2023 $2.9B 83.86%
FY2022 $1.6B 0.51%
FY2021 $1.6B 9.01%
FY2020 $1.4B 123.24%
FY2019 $641.0M (15.77%)
FY2018 $761.0M (6.63%)
FY2017 $815.0M (10.73%)
FY2016 $913.0M 3.15%

Quarterly

Period Free cash flow Change
Jun 2026 $472.0M 4.42%
Mar 2026 $452.0M (44.27%)
Dec 2025 $811.0M 20.86%
Sep 2025 $671.0M (15.28%)
42 more quarters

Against its own ten years

Low $641.0M High $2.9B
Ten-year median $1.4B
Current reading's percentile 91

Free cash flow against peers

What Free cash flow is

Free Cash Flow tells an investor how much cash a company’s operations generate after paying for its investment in physical and intangible assets.

Operating Cash Flow + Property, Plant, Equipment Change (Net) + Intangible Assets Change (Net)

The full definition of Free cash flow →

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