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Real Time Chart
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Stock Profile
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Stock Fundamentals
Financials As Reported
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accession Number
0001091667-23-000084
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accounts Receivable Net Current
2,851,000,000
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accumulated Depreciation Depletion And Amortization Property Plant And Equipment
36,644,000,000
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allocated Share Based Compensation Expense
208,000,000
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amendment Flag
false
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assets
144,870,000,000
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assets Current
4,067,000,000
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cash And Cash Equivalents At Carrying Value
534,000,000
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cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents
534,000,000
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cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect
--111,000,000
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cik
1,091,667
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city Area Code
203
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current Fiscal Year End Date
--12-31
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date Filed
2023-04-28
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deferred Income Tax Expense Benefit
--23,000,000
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document Fiscal Period Focus
Q1
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document Fiscal Year Focus
2,023
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document Period End Date
2023-03-31
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document Transition Report
false
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document Type
10-Q
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earnings Per Share Basic
6.74
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earnings Per Share Diluted
6.65
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entity Address Address Line 1
400 Washington Blvd.
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entity Address City Or Town
Stamford
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entity Address Postal Zip Code
6,902
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entity Address State Or Province
CT
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entity Central Index Key
1,091,667
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entity Current Reporting Status
Yes
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entity Emerging Growth Company
false
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entity File Number
001-33664
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entity Filer Category
Large Accelerated Filer
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entity Incorporation State Country Code
DE
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entity Interactive Data Current
Yes
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entity Name
CHARTER COMMUNICATIONS, INC. /MO/
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entity Registrant Name
Charter Communications, Inc.
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entity Shell Company
false
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entity Small Business
false
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entity Tax Identification Number
84-1496755
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income Loss From Continuing Operations Before Income Taxes Extraordinary Items Noncontrolling Interest
1,557,000,000
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income Tax Expense Benefit
374,000,000
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increase Decrease In Accounts Receivable
--70,000,000
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interest Paid Net
1,189,000,000
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irs Number
841,496,755
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liabilities And Stockholders Equity
144,870,000,000
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liabilities Current
12,242,000,000
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local Phone Number
905-7801
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long Term Debt Current
1,999,000,000
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long Term Debt Noncurrent
95,973,000,000
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net Cash Provided By Used In Financing Activities
--695,000,000
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net Cash Provided By Used In Investing Activities
--2,739,000,000
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net Cash Provided By Used In Operating Activities
3,323,000,000
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net Income Loss
1,021,000,000
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nonoperating Income Expense
--104,000,000
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operating Expenses
8,511,000,000
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operating Income Loss
2,926,000,000
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operating Lease Liability Current
292,000,000
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other Assets Noncurrent
4,793,000,000
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other Liabilities Noncurrent
4,723,000,000
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other Noncash Income Expense
--104,000,000
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payments For Proceeds From Other Investing Activities
80,000,000
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payments For Repurchase Of Common Stock
912,000,000
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payments To Acquire Property Plant And Equipment
2,464,000,000
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period End
1,680,220,800,000
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period Start
1,672,531,200,000
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proceeds From Issuance Of Long Term Debt
7,104,000,000
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proceeds From Payments For Other Financing Activities
--6,000,000
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property Plant And Equipment Net
36,602,000,000
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repayments Of Long Term Debt
6,740,000,000
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report Link
https://www.sec.gov/Archives/edgar/data/1091667/000109166723000084/chtr-20230331_htm.xml
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retained Earnings Accumulated Deficit
--13,800,000,000
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share Based Compensation
208,000,000
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stockholders Equity
9,418,000,000
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trading Symbol
CHTR
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update
1970-01-01
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weighted Average Number Of Diluted Shares Outstanding
153,538,359
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weighted Average Number Of Shares Outstanding Basic
151,438,371
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id
REPORTED_FINANCIALS
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key
CHTR
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subkey
10-Q
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date
2023-04-28
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updated
2023-04-29
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Symbol Info
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Symbol Over View
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Technical Analysis
CHTR stock fundamentals - financials as reported