Crown Castle Inc.

NYSE:CCI Lagerbericht

Marktkapitalisierung: US$40.4b

Crown Castle Zukünftiges Wachstum

Future Kriterienprüfungen 1/6

Für Crown Castle wird ein Gewinn- und Umsatzwachstum von 12.5% bzw. 1.3% pro Jahr prognostiziert, während der Gewinn je Aktie voraussichtlich um 13.8% pro Jahr steigen soll.

Wichtige Informationen

12.5%

Wachstumsrate der Gewinne

13.78%

EPS-Wachstumsrate

Specialized REITs Gewinnwachstum7.8%
Wachstumsrate der Einnahmen1.3%
Zukünftige Eigenkapitalrenditen/a
Analystenabdeckung

Good

Zuletzt aktualisiert05 May 2026

Jüngste Aktualisierungen zum künftigen Wachstum

Recent updates

Seeking Alpha Apr 26

Crown Castle: The 2026 Reset Paves The Way For A Re-Rating

Summary Crown Castle is reaffirmed as a Buy, with risks looking priced in and a strong, improving business returning to its core US cell tower operations. Q1 2026 saw solid AFFO and revenue beats, with a $1 billion buyback program and $7 billion in debt repayments expected from the fiber sale and a ~4.86% dividend yield. Guidance anticipates a 5% decline in site rental revenue but 1% AFFO growth (+2% per share), with cost reductions and litigation recovery potential supporting long-term value, alongside the industry’s investments. Macro risks, such as higher-for-longer rates, client debt, and Middle East conflict, persist, but CCI’s defensive positioning and industry investment cycle offer upside as churn normalizes. Read the full article on Seeking Alpha
Narrativ-Update Apr 24

CCI: Post 2026 Tower Refocus Will Eventually Reframe Execution Concerns

Analysts have nudged their fair value estimate for Crown Castle up by about $1.50 to $98.72, reflecting updated views on revenue prospects, profit margin potential, and a slightly lower future P/E multiple following recent price target adjustments from firms covering the stock. Analyst Commentary Recent research on Crown Castle points to a mixed but constructive backdrop, with some firms lifting price targets while others have trimmed expectations or ratings.
Narrativ-Update Apr 10

CCI: Post 2026 Portfolio Shift Will Ultimately Outweigh EchoStar Dish Overhang

The analyst price target for Crown Castle has been revised slightly lower to $97.22 from about $98.81, reflecting updated views on discount rates, modestly softer growth expectations, and a slightly reduced future P/E multiple across recent research. Analyst Commentary Recent research on Crown Castle shows a mix of optimism around the company’s refocused tower business and caution around organic growth trends and leasing assumptions.
Narrativ-Update Mar 26

CCI: Post 2026 Divestiture And Refocused Towers Will Ultimately Outweigh EchoStar Overhang

Analysts have trimmed their average price target for Crown Castle by a small amount to reflect slightly weaker organic growth expectations and modestly lower margin and revenue assumptions, even as some still highlight potential benefits from the planned small cell and fiber divestiture and a possible move toward low single digit revenue growth. Analyst Commentary Recent research on Crown Castle reflects a split view, with some focusing on the potential for a cleaner, tower-focused business after the planned small cell and fiber divestiture, and others concentrating on slower organic growth and trimmed leasing expectations.
Narrativ-Update Mar 12

CCI: Refocused Towers And Post 2026 Divestiture Path Will Ultimately Outweigh EchoStar Overhang

The analyst price target for Crown Castle has moved slightly higher to approximately $99 per share, as analysts factor in modestly better margin and revenue assumptions, along with recent initiation and target updates that reflect differing views on the company’s post divestiture trajectory. Analyst Commentary Recent research reflects a mix of optimism and caution around Crown Castle, with views shaped by the planned divestiture of the small cell and fiber businesses and updated tower leasing assumptions.
Narrativ-Update Feb 26

CCI: Tower Assets Will Ultimately Outweigh EchoStar Dish Overhang Concerns

Analysts have trimmed their average price target on Crown Castle by about $0.56 to roughly $98.91. This reflects a series of revised models after recent earnings updates and more cautious assumptions on future leasing activity.
Narrativ-Update Feb 11

CCI: Tower Asset Strength Will Outweigh EchoStar Dish And Legal Overhang

The analyst price target for Crown Castle has been reduced by about $8 to $99. Analysts cite more conservative assumptions regarding revenue trends, profit margins, and future P/E multiples following a series of recent target cuts across the Street.
Narrativ-Update Jan 27

CCI: Tower Leasing Execution Will Offset EchoStar Dish And Legal Uncertainties

Narrative Update Analysts have trimmed their price targets on Crown Castle by up to about $18, citing more conservative new leasing assumptions, EchoStar and Dish related uncertainty, and legal overhangs in the towers group. This aligns with a slightly lower fair value estimate of about $108 from about $112 in our model.
Narrativ-Update Jan 10

CCI: Tower Focus And Cost Cuts Will Offset Legal And Fiber Uncertainties

Narrative Update Our analyst price target for Crown Castle has been reduced by about $1.70 to $111.50. This change reflects analysts' lower Street targets tied to legal and industry readthroughs in the towers group, as well as ongoing cost and portfolio actions at the company.
Narrativ-Update Dec 26

CCI: Tower-Only Pivot And Cost Cuts Will Drive Future Cash Flow

Analysts have modestly reduced their price target on Crown Castle by about $1 to roughly $113 per share, reflecting slightly lower fair value estimates along with expectations for higher discount rates, weaker revenue growth, and softer profit margins, even as they highlight operational improvements and the strategic benefits of a tower only focus. Analyst Commentary Street research points to a more balanced view on Crown Castle, with recent target cuts reflecting legal and macro risks while operational progress and the tower only pivot underpin a more constructive stance on the shares.
Narrativ-Update Dec 12

CCI: Tower-Only Focus And Cost Discipline Will Drive Future Upside

Analysts have nudged our Crown Castle fair value estimate slightly lower to approximately $114.47 from about $115.06, reflecting a cluster of reduced but still constructive Street price targets that emphasize tower focused execution, operational improvements, and manageable legal and EchoStar related risks. Analyst Commentary Street research around Crown Castle has become more nuanced, with modest price target trims offset by a cluster of rating upgrades that favor the companys shift toward a tower centric model and cost discipline.
Narrativ-Update Nov 28

CCI: Tower-Only Focus And Cost Reductions Will Drive Long-Term Upside

Crown Castle's analyst price target has been lowered modestly, with updated targets ranging from $104 to $115. Analysts cite ongoing operational improvements and evolving legal risks in the towers sector as primary influences on their outlook.
Narrativ-Update Nov 14

CCI: Operational Improvements And Tower-Only Focus Will Drive Future Upside

The consensus analyst price target for Crown Castle has decreased modestly by $1.00 to $115.00. Analysts point to operational improvements, cost reductions, and sector headwinds as key drivers of their revised outlook.
Narrativ-Update Oct 31

CCI: Tower-Focused Strategy Will Drive Earnings Gains Amid Sector Headwinds

The average analyst price target for Crown Castle has been modestly reduced by $1.21 as analysts weigh ongoing operational improvements and cost-reduction efforts against headwinds from sector-wide concerns and the planned divestiture of the company's fiber business. Analyst Commentary Recent analyst notes reflect a range of views on Crown Castle's current positioning and outlook, with particular focus on operational improvements, the evolving sector landscape, and the impact of the company’s strategic decisions.
Narrativ-Update Oct 16

Focusing On US Towers Will Unlock Operational Potential

Crown Castle's fair value estimate has been modestly reduced from $118.12 to $117.27. Analysts cite the impact of tower industry churn concerns and slightly slower projected revenue growth, partially offset by improving profit margin expectations and optimism about the company's tower-only strategy.
Seeking Alpha Apr 28

Crown Castle Vs. American Tower: A Battle Of The Tower REITs

Summary American Tower is favored over Crown Castle due to a better balance sheet, and stronger FFO growth relative to price growth. CCI's higher dividend yield is unsustainable, with a significant cut expected, reducing its attractiveness compared to AMT's stable dividend. AMT's growth is funded by debt, avoiding the dilution issues plaguing CCI, which faces operational challenges and divestitures. Despite CCI's US-centric model and higher forward dividend yield, AMT offers more safety and stability, making it the clear investment choice. Read the full article on Seeking Alpha
Seeking Alpha Apr 20

Crown Castle: Back To The Mast

Summary Crown Castle is selling its fiber division for $8.5 billion to refocus on its 40,000 cell towers, boosting investor confidence and stock price. The sale will make CCI the only pure-play tower company in the US, offering higher returns and more predictable revenue compared to fiber. Despite a high debt load, CCI plans to use sale proceeds for debt repayment and share buybacks, improving financial stability and reducing interest expenses. With a healthier balance sheet and strong tower rental growth, CCI offers stable income, a growing dividend, and a promising outlook, earning a buy recommendation. Read the full article on Seeking Alpha
Seeking Alpha Mar 14

Crown Castle's $8.5 Billion Sale May Be A Mistake

Summary Crown Castle delayed its earnings release to announce an $8.5 billion asset sale, aimed at debt reduction and stock buybacks, but this makes the company less attractive. Despite a slight revenue beat, Crown Castle's Q4 2024 results showed declines in key segments and a significant goodwill impairment charge, leading to a downgrade from 'strong buy' to 'buy'. The asset sale will reduce debt and fund a share buyback, but the proceeds are disappointing, and the stock will appear more expensive post-transaction. Management's focus on core strengths and debt reduction is logical, but the overall leverage improvement is insufficient to justify maintaining a 'strong buy' rating. Read the full article on Seeking Alpha
Seeking Alpha Feb 04

Crown Castle: Dividend Cut Lining Up, Stock Still Modestly Attractive

Summary We had previously identified a sub $100 price as potentially attractive for Crown Castle Inc. stock. The company is negotiating the sale of its fiber business, with offers around $8 billion, far less than the $20 billion invested. Despite the potential for a large dividend cut, we believe CCI's underlying business is undervalued at current prices. Read the full article on Seeking Alpha
Seeking Alpha Jan 17

Crown Castle: Towers Of Disappointment For Investors

Summary Crown Castle is considering selling its fiber business to TPG for $8B, potentially unlocking value by focusing on its core tower segment. The company's dividend yield is high but likely unsustainable, with a potential cut if the fiber segment sale proceeds, impacting future payouts. Crown Castle's balance sheet is strained, with high leverage and rising interest payments, making debt reduction crucial if the fiber sale happens. Given the risks of a dividend cut, potential downgrade, and management's track record, I recommend a "hold" rating despite long-term growth prospects. Read the full article on Seeking Alpha
Seeking Alpha Jan 03

Crown Castle: Attractive Upside Potential, Nearly 7% Dividend Yield

Summary Crown Castle, a leading communications infrastructure REIT, has lagged behind the sector and broader markets over the past year. This underperformance has persisted despite strong fundamentals, including rising data usage and increasing demand for network infrastructure. The stock is trading near its lows, offering an attractive dividend yield of almost 7%. For value-focused investors seeking reliable income, CCI appears well-positioned with steady dividend potential. Read the full article on Seeking Alpha
Seeking Alpha Dec 01

Crown Castle: Analyzing Historical And Future Fair Value

Summary Crown Castle Inc (CCI) is trading at 15% above its 52-week low, offering a 39% upside based on historical fair value metrics. Using a dividend discount model, CCI's fair value is estimated at $146, implying a 37% upside potential. Despite concerns about the Fiber segment, Q3 results show revenue growth and a commitment to improve profitability. Mixed ratings from analysts, but with a strong ROE and potential AI and 5G benefits, CCI remains an attractive investment. Read the full article on Seeking Alpha
Seeking Alpha Nov 14

Crown Castle: Buy The Dip Hand Over Fist

Summary Crown Castle Inc. presents a compelling buy-the-dip opportunity with a high dividend yield of 6.1% and a historically low valuation. CCI's strong Q3 performance, driven by robust growth in small cells and fiber solutions, underscores its resilience amidst economic uncertainties. The company's strategic focus on co-location over new builds is expected to enhance capital efficiency and support long-term growth. CCI is well-positioned for potential market-beating total returns, benefiting from increasing data usage and a solid asset base. Read the full article on Seeking Alpha
Seeking Alpha Oct 17

Crown Castle: Between Significant Undervaluation And Dividend Cut Risks

Summary Crown Castle is poised for double-digit growth with a 40,000 small cell node backlog, benefiting from rising mobile data demand. Despite recent underperformance, CCI's strong balance sheet and cost-saving measures position it well for future growth and operational efficiency. The 5.4% dividend yield offers income, but potential fiber business sales could risk a dividend cut. Patience is required as operational adjustments take time, but CCI remains a compelling investment in the "mission-critical" communications sector. Read the full article on Seeking Alpha
Seeking Alpha Sep 08

Crown Castle: Lower Rates Offer Tailwind, But Competitive And Refinancing Risks Mount (Rating Upgrade)

Summary Crown Castle's valuation has declined due to rising interest rates, impacting its leverage and dividend fair value. The telecom REIT faces significant long-term risks from high debt, competitive pressures, and potential refinancing challenges, especially if interest rates don't decline substantially. Despite short-term tailwinds from potential rate cuts, Crown Castle's growth prospects are limited, with fiber investments facing competition and tower demand stagnating. I remain neutral on CCI due to its reasonable valuation and dividend yield, but future credit downgrades could increase refinancing costs and pressure profits. In the long run, LEO satellites and Elon Musk's Starlink may significantly disrupt both its fiber and tower segments. Read the full article on Seeking Alpha
Seeking Alpha Aug 22

Crown Castle: Reset For Recovery With REITs Rebounding

Summary Crown Castle's telecommunication infrastructure assets are important to 5G and AI applications with great growth potential. Crown Castle has gone through major churns in 2024. It looks ready for recovery and to join the current REIT rally. CCI pays a dividend of 5.72% and has a good track record of growing dividends. It is a large-cap equity REIT stock that can be considered as a long holding. Read the full article on Seeking Alpha

Gewinn- und Umsatzwachstumsprognosen

NYSE:CCI - Zukünftige Analystenschätzungen und Finanzdaten der Vergangenheit (USD Millions)
DatumUmsatzGewinneFreier CashflowBargeld aus operativen TätigkeitenDurchschn. Anz. Analysten
12/31/20284,2071,2772,7352,17011
12/31/20274,1281,2032,2042,04117
12/31/20264,0679082,1031,87117
3/31/20264,2131,0392,7262,925N/A
12/31/20254,2641,1032,8753,057N/A
9/30/20256,420-3,9301,8433,064N/A
6/30/20256,468-3,9131,8333,049N/A
3/31/20254,4071,1522,8162,985N/A
12/31/20244,4601,1622,7672,943N/A
9/30/20245,0151,2162,4532,934N/A
6/30/20245,5621,1871,9782,768N/A
3/31/20246,3221,3781,9893,119N/A
12/31/20234,7341,2372,8833,126N/A
9/30/20237,0711,5531,6423,098N/A
6/30/20237,1501,7071,8203,266N/A
3/31/20237,0171,6721,5562,926N/A
12/31/20226,9861,6751,5682,878N/A
9/30/20226,8761,6141,5142,772N/A
6/30/20226,7481,5451,4892,693N/A
3/31/20226,5971,4581,4932,701N/A
12/31/20216,3401,1581,4982,727N/A
9/30/20216,1791,3131,7002,978N/A
6/30/20216,0471,1251,6453,017N/A
3/31/20215,9049631,5072,986N/A
12/31/20205,8409991,4313,055N/A
9/30/20205,7736711,1202,878N/A
6/30/20205,7697249602,880N/A
3/31/20205,7767398152,839N/A
12/31/20195,763747N/A2,698N/A
9/30/20195,703703N/A2,615N/A
6/30/20195,595624N/A2,616N/A
3/31/20195,479588N/A2,560N/A
12/31/20185,370509N/A2,500N/A
9/30/20185,242444N/A2,405N/A
6/30/20184,932393N/A2,223N/A
3/31/20184,639354N/A2,053N/A
12/31/20174,255308N/A2,032N/A
9/30/20174,150441N/A1,891N/A
6/30/20174,078443N/A1,795N/A
3/31/20174,003406N/A1,787N/A
12/31/20163,921324N/A1,787N/A
9/30/20163,835331N/A1,806N/A
6/30/20163,761337N/A1,791N/A
3/31/20163,698416N/A1,774N/A
12/31/20153,664478N/A1,797N/A
9/30/20153,644459N/A1,769N/A
6/30/20153,619453N/A1,826N/A

Analystenprognosen zum zukünftigen Wachstum

Einkommen vs. Sparrate: CCIDas prognostizierte Gewinnwachstum (12.5% pro Jahr) liegt über der Sparquote (3.5%).

Ertrag vs. Markt: CCIDie Erträge des Unternehmens (12.5% pro Jahr) werden voraussichtlich langsamer wachsen als der Markt US (16.8% pro Jahr).

Hohe Wachstumserträge: CCIDie Erträge des Unternehmens werden voraussichtlich steigen, jedoch nicht deutlich.

Einnahmen vs. Markt: CCIDie Einnahmen des Unternehmens (1.3% pro Jahr) werden voraussichtlich langsamer wachsen als der Markt US (11.6% pro Jahr).

Hohe Wachstumseinnahmen: CCIDie Einnahmen des Unternehmens (1.3% pro Jahr) werden voraussichtlich langsamer wachsen als 20% pro Jahr.


Wachstumsprognosen für den Gewinn je Aktie


Künftige Eigenkapitalrendite

Künftige Eigenkapitalrendite: Unzureichende Daten, um festzustellen, ob die Eigenkapitalrendite von CCI in 3 Jahren voraussichtlich hoch sein wird


Wachstumsunternehmen entdecken

Unternehmensanalyse und Finanzdaten Status

DatenZuletzt aktualisiert (UTC-Zeit)
Unternehmensanalyse2026/05/21 21:35
Aktienkurs zum Tagesende2026/05/21 00:00
Gewinne2026/03/31
Jährliche Einnahmen2025/12/31

Datenquellen

Die in unserer Unternehmensanalyse verwendeten Daten stammen von S&P Global Market Intelligence LLC. Die folgenden Daten werden in unserem Analysemodell verwendet, um diesen Bericht zu erstellen. Die Daten sind normalisiert, was zu einer Verzögerung bei der Verfügbarkeit der Quelle führen kann.

PaketDatenZeitrahmenBeispiel US-Quelle *
Finanzdaten des Unternehmens10 Jahre
  • Gewinn- und Verlustrechnung
  • Kapitalflussrechnung
  • Bilanz
Konsensschätzungen der Analysten+3 Jahre
  • Finanzielle Vorausschau
  • Kursziele der Analysten
Marktpreise30 Jahre
  • Aktienkurse
  • Dividenden, Splits und Aktionen
Eigentümerschaft10 Jahre
  • Top-Aktionäre
  • Insiderhandel
Verwaltung10 Jahre
  • Das Führungsteam
  • Direktorium
Wichtige Entwicklungen10 Jahre
  • Ankündigungen des Unternehmens

* Beispiel für US-Wertpapiere, für nicht-US-amerikanische Wertpapiere werden gleichwertige regulatorische Formulare und Quellen verwendet.

Sofern nicht anders angegeben, beziehen sich alle Finanzdaten auf einen Jahreszeitraum, werden aber vierteljährlich aktualisiert. Dies wird als Trailing Twelve Month (TTM) oder Last Twelve Month (LTM) Daten bezeichnet. Erfahren Sie mehr.

Analysemodell und Schneeflocke

Einzelheiten zu dem Analysemodell, mit dem dieser Bericht erstellt wurde, finden Sie auf unserer Github-Seite. Außerdem bieten wir Leitfäden zur Verwendung unserer Berichte und Tutorials auf YouTube an.

Erfahren Sie mehr über das Weltklasse-Team, das das Simply Wall St-Analysemodell entworfen und entwickelt hat.

Metriken für Industrie und Sektor

Unsere Branchen- und Sektionskennzahlen werden alle 6 Stunden von Simply Wall St berechnet. Details zu unserem Verfahren finden Sie auf Github.

Analysten-Quellen

Crown Castle Inc. wird von 45 Analysten beobachtet. 17 dieser Analysten hat die Umsatz- oder Gewinnschätzungen übermittelt, die als Grundlage für unseren Bericht dienen. Die von den Analysten übermittelten Daten werden im Laufe des Tages aktualisiert.

AnalystEinrichtung
James RatcliffeBarclays
Brendan LynchBarclays
Amir RozwadowskiBarclays