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CZR - Caesars Entertainmen...

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Caesars Entertainment, Inc.

CZR

NASDAQ

Caesars Entertainment, Inc. operates as a gaming and hospitality company in the United States. The company operates casinos comprising poker, keno, and race and online sportsbooks; dining venues, bars, nightclubs, and lounges; hotels; and entertainment venues. It also provides staffing and management services; accessories, souvenirs, and decorative items through retail stores; and online sports betting and iGaming services. As of December 31,2021, the company owned, leased, and managed 52 domestic properties in 16 states, consisting of approximately 55,700 slot machines, video lottery terminals, and e-tables; 2,900 table games; and 47,700 hotel rooms. Caesars Entertainment, Inc. was founded in 1937 and is based in Reno, Nevada.

27.74 USD

-0.09 (-0.324%)

CZR Financial Statements

Year

2024

2023

2022

2021

Current Assets

1.75B

2.04B

2.1B

5.96B

Cash & Short Term Investments

866M

1B

1.04B

1.07B

Cash And Cash Equivalents

866M

1B

1.04B

1.07B

Short Term Investments

0

0

0

319M

Net Receivables

470M

608M

611M

472M

Inventory

45M

46M

59M

42M

Other Current Assets

366M

386M

657M

4.38B

Non-Current Assets

30.84B

31.32B

31.43B

32.07B

Property, Plant & Equipment

14.81B

14.76B

15.24B

15.26B

Goodwill And Intangible Assets

14.73B

15.51B

15.72B

16B

Goodwill

10.6B

10.99B

11B

11.08B

Intangible Assets

4.13B

4.52B

4.71B

4.92B

Long Term Investments

131M

157M

94M

158M

Tax Assets

62M

47M

987M

1.11B

Other Non-Current Assets

1.1B

848M

-611M

-461M

Other Assets

0

0

0

0

Total Assets

32.59B

33.37B

33.53B

38.03B

Current Liabilities

2.27B

2.69B

2.67B

5.3B

Accounts Payable

296M

408M

314M

254M

Short Term Debt

109M

88M

158M

119M

Tax Payables

205M

202M

195M

183M

Deferred Revenue

0

734M

987M

2.24B

Other Current Liabilities

1.66B

1.26B

2B

4.74B

Total Current Liabilities

2.27B

2.69B

2.67B

5.3B

Total Non-Current Liabilities

25.94B

25.96B

27.11B

28.19B

Long-Term Debt

24.93B

24.98B

25.27B

26.15B

Deferred Revenue

0

0

115M

117M

Deferred Taxes Liabilities

130M

102M

987M

1.11B

Other Non Current liabilities

880M

871M

852M

936M

Total Liabilities

28.21B

28.65B

29.78B

33.49B

Other Liabilities

0

0

0

0

Stockholders Equity

4.38B

4.55B

3.71B

4.48B

Common Stock

0

0

0

0

Retained Earnings

-2.8B

-2.52B

-3.31B

-2.41B

Accumulated Other Comprehensive Income/Loss

96M

97M

92M

36M

Other Shareholders Equity

-

-

-

-

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

-2.52B

-3.31B

-2.41B

-1.39B

Net Income

-278M

786M

-524M

-986M

Stock Repurchases

-191M

-66M

0

0

Dividend Paid

0

0

0

0

Retained Earnings

-2.8B

-2.52B

-3.31B

-2.41B

Other Distributions

-469M

720M

-899M

-1.02B

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

14.81B

14.76B

15.24B

15.26B

Annual Depreciation

1.32B

1.26B

1.26B

1.17B

Capital Expenditure

-1.3B

-1.29B

-963M

-832M

Net PPE

14.78B

14.79B

14.94B

14.93B

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

-389M

-14M

-72M

1.35B

Goodwill (Previous Year)

10.99B

11B

11.08B

9.72B

Goodwill

10.6B

10.99B

11B

11.08B

All figures are in USD.

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