Charter Comm Inc Del CL A New
CHTR
$219.79
+1.63%
Charter Communications is a major cable and telecommunications services provider in the United States. It is the second-largest US cable company, serving residential and commercial customers under the Spectrum brand across a significant national footprint.
CHTR
Charter Comm Inc Del CL A New
$219.79
CHTR 12-Month Price Forecast
Wall Street consensus
Most Wall Street analysts maintain a constructive view on Charter Comm Inc Del CL A New's 12-month outlook, with a consensus price target around $285.73 and implied upside of +30.0% versus the current price.
Average Target
$285.73
5 analysts
Implied Upside
+30.0%
vs. current price
Analyst Count
5
covering this stock
Price Range
$176 - $286
Analyst target range
No sufficient analyst coverage available. The provided data includes recent rating actions from various firms (e.g., Deutsche Bank 'Hold', Wells Fargo 'Underweight', Benchmark 'Buy'), but does not contain a consensus target price or a detailed ratings distribution summary.
CHTR Technical Analysis
The stock has experienced a significant downtrend over the provided 180-day period, falling from a high near $283 in early October 2025 to a current price of $215.88. The 6-month price change is -19.93%, substantially underperforming the S&P 500's -2.82% change over the same period. The stock has shown some recovery from its low point within the data, which was $180.38, but remains well below its 52-week high of $437.06. The current price is approximately 19.7% above its 52-week low but 50.6% below its 52-week high, indicating it is still trading in the lower portion of its annual range. Short-term performance shows a 1-month decline of -7.99%, which also underperformed the broader market's -5.25% drop, but a 3-month gain of 3.42% outperformed the S&P 500's -4.63% loss.
Beta
1.02
1.02x market volatility
Max Drawdown
-57.2%
Largest decline past year
52-Week Range
$180-$437
Price range past year
Annual Return
-42.0%
Cumulative gain past year
| Period | CHTR Return | S&P 500 |
|---|---|---|
| 1m | -4.2% | -3.6% |
| 3m | +5.0% | -4.0% |
| 6m | -21.5% | -2.0% |
| 1y | -42.0% | +16.2% |
| ytd | +5.0% | -3.8% |
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CHTR Fundamental Analysis
Revenue for Q4 2025 was $13.60 billion, showing a slight year-over-year decline of -2.33% from the prior year's Q4. Profitability metrics remain positive, with a net margin of 9.10% and an operating margin of 24.33% as per the valuation data. The company's financial health is characterized by a high debt-to-equity ratio of 6.05, indicating significant leverage. However, it generates substantial operating cash flow, with TTM free cash flow reported at $4.42 billion. Operational efficiency is reflected in a strong Return on Equity (ROE) of 31.06% and a Return on Assets (ROA) of 5.48%, suggesting effective use of shareholder capital and assets.
Quarterly Revenue
$13.6B
2025-12
Revenue YoY Growth
-0.02%
YoY Comparison
Gross Margin
+0.40%
Latest Quarter
Free Cash Flow
$4.4B
Last 12 Months
Revenue & Net Income Trends (2 Years)
Revenue Breakdown
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Valuation Analysis: Is CHTR Overvalued?
Given the company's positive net income, the primary valuation metric is the Price-to-Earnings (P/E) ratio. The trailing P/E ratio is 5.66, and the forward P/E is 4.56, both of which appear low. The Price-to-Sales (P/S) ratio is 0.52, and the Enterprise Value-to-Sales (EV/Sales) is 2.38. The EV/EBITDA ratio is 5.89. Peer comparison data (industry averages) is not provided in the valuation inputs, so a relative assessment against the sector cannot be made.
PE
5.7x
Latest Quarter
vs. Historical
Low-End
5-Year PE Range 5x~37x
vs. Industry Avg
N/A
Industry PE ~N/A*
EV/EBITDA
5.9x
Enterprise Value Multiple

