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CCI (CCI) Stock Analysis 2026

Real Estate
$74.65
as of 2026-08-19

BriMind AI Score

Proprietary
38
Weak
Price CAGR
1.5%
1Y Return
-25.3%
Analyst Upside
+25.7%
Rev Growth
-4.9%

Score based on historical price CAGR, revenue growth, analyst upside, and valuation factors. Updated daily.

BriMind 1-Year Price Target

$77.03+3.2% potential
Bear Case
$56.60
Bull Case
$109.69
Model Confidence90%

BriMind AI combines DCF, momentum, and analyst consensus to project a 12-month price target.

AI scores and price targets are for informational and educational purposes only. They do not constitute financial advice or a recommendation to buy or sell any security. Past performance is not indicative of future results. Always conduct your own research before making investment decisions. Full Disclaimer →

CCI Revenue & Profitability Breakdown

This chart shows how CCI's revenue flows through to profit. Each row deducts a layer of costs: first the direct cost of making products/services (Cost of Revenue), then operating expenses like marketing and R&D, then taxes. What remains at the bottom is net income — the actual profit shareholders own. High gross and net margins indicate a business with strong pricing power and efficiency.

Revenue
$4.16B
Cost of Revenue
-$1.09B
Gross Profit
$3.07B73.7% margin
Operating Expenses
-$1.12B
Operating Income
$1.95B46.8% margin
Tax & Other
-$1.09B
Net Income
$862.0M20.7% margin
Gross Margin
73.7%
Operating Margin
46.8%
Net Margin
20.7%

Key Financial Metrics

A snapshot of the company's valuation, growth, profitability, and financial health. Key things to look at: P/E ratio measures how much you pay for $1 of earnings (lower = cheaper, but fast-growing companies command higher P/E); Free Cash Flow is the cash left after running the business — companies with strong FCF can buy back shares, pay dividends, or invest; Debt/Equity shows how leveraged the company is (high debt can be risky); Return on Equity tells you how efficiently the company generates profit from shareholders' money.

Market Cap
$33.20B
P/E (Trailing)
31.01
P/E (Forward)
26.14
Revenue
$4.16B
Revenue Growth
-4.9%
Earnings Growth
-67.5%
Gross Margin
73.7%
Operating Margin
46.8%
Net Margin
20.7%
Return on Equity
-206.7%
Return on Assets
4.7%
Free Cash Flow
$1.04B
Current Ratio
0.52
Quick Ratio
0.43
Beta
0.97
Dividend Yield
5.6%
Payout Ratio
173.5%
Book Value / Share
$-7.68

Wall Street Analyst Consensus

Professional analysts at investment banks set 12-month price targets after researching the company's earnings, competitive position, and industry trends. Strong Buy / Buy means the majority expect meaningful upside. Hold means analysts see fair value near the current price — not a sell signal, but limited near-term upside expected. The mean target is the average of all analyst price targets; the range shows where the most optimistic and most cautious analysts stand.

Mean Target$95.47+27.9% upside

Compare CCI with Peers

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Data sources: Financial metrics and market data sourced from company SEC filings, earnings releases, and investor relations disclosures. Price data, analyst consensus targets, and fundamental financials provided by financial market data providers. ETF data sourced from official fund prospectuses and index provider publications. AI scores and price targets are proprietary estimates — see our Methodology and Disclaimer for details.
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