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Caesars Entertainment, Inc.

CZR Consumer Cyclical Resorts & Casinos

Caesars Entertainment, Inc.’s revenue for fiscal 2025 (year ended December 2025) was $11.5 billion, up 2.14% from fiscal 2024. In the quarter to June 2026, revenue grew 2.96%, EPS grew 23.1%, free cash flow grew 29.8% and total debt fell 47.3%, each against the same quarter a year earlier.

29.50 0.02 −0.07%
Market cap
$6.0B
P/E
0.0×
Fwd P/E
−46.8×
Dividend yield
—
F-score
6/9
Altman Z
0.50
Beneish M
−2.71
Dividend safety
n/a
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 Dec '18 Dec '17 Dec '16
P/E ratio
0.00 0.00 13.13 0.00 0.00 0.00 57.35 29.20 35.97 32.46
Piotroski F-Score
6 5 6 5 6 3 6 5 6 6
P/S ratio
0.42 0.64 0.89 0.84 2.06 2.66 1.84 1.36 1.43 0.89
Altman Z-Score
0.50 0.59 0.67 0.51 0.66 0.31 1.38 0.97 1.10 1.54
P/FCF ratio
6.99 23.71 19.91 311.85 18.06 0.00 6.86 15.75 45.34 14.92
Altman Z″-Score (non-manufacturers)
0.10 0.25 0.30 0.05 0.31 0.61 0.86 0.92 0.79 1.09
Beneish M-Score
(2.71) (2.87) (2.63) (2.37) (1.75) 0.92 (2.69) (2.39) (1.16) (2.40)
P/Operating CF
16.00 23.25 20.22 17.26 87.71 (26.97) 87.77 46.82 36.47 34.68
P/B ratio
1.32 1.64 2.18 2.41 4.35 1.92 4.16 2.71 2.26 2.69
EV/Sales
1.49 1.63 1.86 1.91 3.36 5.51 2.77 3.28 2.81 1.71
EV/EBITDA
4.67 4.44 5.25 7.89 22.01 0.00 13.09 13.75 16.98 9.89
EV/FCF
24.57 60.61 41.54 711.78 29.40 (55.70) 10.34 38.06 88.76 28.63
Current Ratio
0.80 0.77 0.76 0.79 1.13 2.41 0.88 1.43 1.12 1.00
Net Debt/EBITDA
2.95 2.70 2.74 3.41 4.03 17.68 3.61 8.06 8.30 4.73
Debt/Equity
3.20 2.77 2.60 3.40 3.04 2.81 2.30 4.10 2.33 2.68
ROE
(12.45%) (6.11%) 18.56% (21.68%) (21.28%) (57.13%) 7.55% 9.64% 11.84% 8.62%
ROA
(1.56%) (0.84%) 2.35% (2.51%) (2.74%) (8.36%) 1.40% 2.01% 3.03% 1.87%
ROIC
8.01% 9.26% 9.73% 7.08% 5.39% (1.56%) 7.37% 3.89% 1.99% 5.35%
Return on Tangible Assets
(3.61%) (1.95%) 5.57% (6.41%) (6.67%) (9.61%) 3.20% 3.11% 4.80% 4.01%
Average Days of Receivables
15.13 15.26 19.25 20.61 18.00 34.41 7.80 10.68 11.29 5.96
Earnings Yield
(10.39%) (3.83%) 7.62% (9.96%) (5.15%) (15.48%) 1.74% 3.42% 2.78% 3.08%
Free Cash Flow Yield
14.31% 4.22% 5.02% 0.32% 5.54% (3.72%) 14.57% 6.35% 2.21% 6.70%
Free Cash Flow per Share
3.42 1.48 2.40 0.32 5.18 (3.03) 8.69 2.30 0.70 1.14
Book value per Share
17.72 20.35 21.95 17.53 21.52 38.72 14.32 13.37 14.03 6.35
Free Cash Flow
711.00 318.00 516.00 69.00 1,093.00 (394.00) 678.00 177.00 46.86 53.76
EV/EBIT
9.21 7.97 8.67 11.87 22.01 0.00 17.10 21.73 43.87 17.35
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