(0.12%) 5 303.27 points
(0.34%) 40 004 points
(-0.07%) 16 686 points
(0.97%) $80.00
(5.73%) $2.64
(1.44%) $2 419.80
(6.36%) $31.78
(2.18%) $1 094.70
(-0.02%) $0.920
(-0.18%) $10.68
(-0.27%) $0.787
(0.19%) $91.05
FY/2023
Generated By Getagraph.com: 2023-12-31
Century Communities Inc [CCS]
1.30% $ 88.39
एक्सचेंज: NYSE क्षेत्र: Consumer Cyclical उद्योग: Construction - Residential
In the fiscal year 2023, Century Communities, Inc. reported significant financial performance metrics, reflecting the company's operations and business strategies. Key figures and transformative events are detailed, providing stakeholders an overview of the company's financial health.
The comprehensive analysis provides insights into the company's market positions, exposure to interest rate fluctuations, inflation impacts, and operating lease commitments. Despite market vulnerabilities, Century Communities, Inc. portrays a strong stance towards future operational and financial planning.
Ernst & Young LLP issued an unqualified opinion on both the financial statements and the effectiveness of internal control over financial reporting as of December 31, 2023. This underscores the reliability of financial disclosures and compliance with regulatory standards.
Century Communities, Inc. ensures high standards of corporate governance, backed by a proficient Board of Directors. The company also emphasizes substantial audit procedures, executive compensations, and stockholder relations, aligning with industry best practices.
Investors are advised to review the detailed sections on earnings per share, stock-based compensation, taxes, debt obligations, and commitments for a granular understanding of the company's fiscal strategies and outlook.
Revenues FY - 2023
Revenue | Gross Profit | Operating Expenses | Interest Expense | EBITDA | Net Income | EPS |
---|---|---|---|---|---|---|
$3.69B | $853.75M | $447.31M | $56.75M | $406.44M | $259.22M | $8.12 |
Balance FY - 2023
Net Income | Depreciation and Amortization | Stock Based Compensation | Change in Working Capital | Net Cash Provided by Operating Activities | Capital Expenditure | Free Cash Flow |
---|---|---|---|---|---|---|
$259.22M | $15.77M | $36.78M | $-282.82M | $41.63M | $-131.68M | $-90.05M |