Caesars Entertainment, Inc. Common Stock (CZR) Financial Statements

Historical financial data — 41 statements covering FY2016–FY2025

Caesars Entertainment's stand-alone portfolio includes about 50 domestic gaming properties across the Las Vegas (48% of 2025 EBITDAR) and regional (49%) markets. Additionally, the company hosts man...

Caesars Entertainment, Inc. Common Stock's revenue increased 2.1% year over year, from $11.24B to $11.49B.

Net income decreased 80.6% over the same period, from $-278.0M to $-502.0M.

Over the 9-year period from FY2016 to FY2025, revenue grew by 1186% in total.

Total debt remained relatively stable at $11.67B.

The debt-to-equity ratio stands at 3.33, indicating a high leverage profile.

Operating cash flow grew 21.1% to $1.30B.

Caesars Entertainment, Inc. Common Stock maintains a negative net profit margin of -4.4%.

Recent Financial Statements

PeriodRevenueNet IncomeGross ProfitEBITOp. Cash FlowTotal AssetsTotal DebtEquity
Q3 FY2023$8.70B+52.4%$858.0M$4.69B$1.94B$1.30B$33.23B$12.23B$4.60B
Q1 FY2024$2.74B-68.5%$-158.0M$1.40B$485.0M$80.0M$33.06B$12.17B$4.40B
Q2 FY2024$5.57B+103.2%$-280.0M$2.90B$991.0M$534.0M$33.08B$12.16B$4.30B
Q3 FY2024$8.45B+51.6%$-289.0M$4.42B$1.64B$766.0M$32.97B$12.43B$4.18B
Q1 FY2025$2.79B-66.9%$-115.0M$1.41B$488.0M$218.0M$32.40B$12.05B$4.05B
Q2 FY2025$5.70B+104.0%$-197.0M$2.90B$1.01B$680.0M$32.48B$12.02B$3.90B
Q3 FY2025$8.57B+50.3%$-252.0M$4.31B$1.53B$998.0M$31.90B$11.68B$3.78B
Q1 FY2026$2.87B-66.5%$-98.0M$1.44B$500.0M$204.0M$31.66B$11.69B$3.42B

Balance Sheet Summary (Latest Period)

Total Assets
$31.64B
Total Liabilities
$27.95B
Total Equity
$3.50B
Cash & Equivalents
$887.0M
Total Debt
$11.67B
Current Assets
$1.80B
Current Liabilities
$2.25B
Retained Earnings
$-3.30B
Current Price: $29.73
Market Cap: $6.1B
Sector: Consumer Cyclical