American Tower Corporation (REI (AMT) — Stock Price, Financials & Analysis

American Tower Corporation one of the largest global REITs, is a leading independent owner, operator and developer of multitenant communications real estate with a portfolio of over 148,000 communications sites and a highly interconnected footprint of U.S. data center facilities. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Key Statistics — AMT

  • Latest Close: $169.55
  • Market Cap: $79.00B
  • P/E Ratio (TTM): 27.3
  • EPS (TTM): $6.21
  • Dividend Yield: 413.00%
  • Beta: 0.89
  • 52-Week High: $214.79
  • 52-Week Low: $160.06
  • Profit Margin: 31.1%
  • Return on Equity: 33.9%
  • Debt to Equity: 438.7

Sector: Real Estate — REIT - Specialty

Income Statement — AMT

  • 2021: Revenue N/A, Net Income N/A
  • 2022: Revenue $9.65B, Net Income $1.77B
  • 2023: Revenue $10.01B, Net Income $1.48B
  • 2024: Revenue $10.13B, Net Income $2.25B
“”Wednesday, August 12, 2026
Minimaxmax⁡x∈Δmin⁡y∈Δ x⊤ ⁣A y=v∗\max_{x \in \Delta} \min_{y \in \Delta} \, x^\top\! A \, y = v^*maxx∈Δ​miny∈Δ​x⊤Ay=v∗§Zero-Sum∑i=1nui(s)=0    ∀ s∈S\textstyle\sum_{i=1}^{n} u_i(s) = 0 \;\; \forall \, s \in S∑i=1n​ui​(s)=0∀s∈S§Nash Eq.x∗⊤ ⁣Ay≥x∗⊤ ⁣Ay∗≥x⊤ ⁣Ay∗x^{*\top}\! A y \geq x^{*\top}\! A y^* \geq x^\top\! A y^*x∗⊤Ay≥x∗⊤Ay∗≥x⊤Ay∗§ExpectedE[u1]=x⊤ ⁣A y\mathbb{E}[u_1] = x^\top\! A \, yE[u1​]=x⊤Ay§RegretRT=max⁡i∑t=1Tuit−∑t=1TuattR_T = \max_i \sum_{t=1}^{T} u_i^t - \sum_{t=1}^{T} u_{a_t}^tRT​=maxi​∑t=1T​uit​−∑t=1T​uat​t​§LP Dualmin⁡y,ww    s.t.    Ay≤w⋅1\min_{y,w} w \;\; \text{s.t.} \;\; Ay \leq w \cdot \mathbf{1}miny,w​ws.t.Ay≤w⋅1§Payoffu1(i,j)=aij,    u2(i,j)=−aiju_1(i,j) = a_{ij}, \;\; u_2(i,j) = -a_{ij}u1​(i,j)=aij​,u2​(i,j)=−aij​§Minimaxmax⁡x∈Δmin⁡y∈Δ x⊤ ⁣A y=v∗\max_{x \in \Delta} \min_{y \in \Delta} \, x^\top\! A \, y = v^*maxx∈Δ​miny∈Δ​x⊤Ay=v∗§Zero-Sum∑i=1nui(s)=0    ∀ s∈S\textstyle\sum_{i=1}^{n} u_i(s) = 0 \;\; \forall \, s \in S∑i=1n​ui​(s)=0∀s∈S§Nash Eq.x∗⊤ ⁣Ay≥x∗⊤ ⁣Ay∗≥x⊤ ⁣Ay∗x^{*\top}\! A y \geq x^{*\top}\! A y^* \geq x^\top\! A y^*x∗⊤Ay≥x∗⊤Ay∗≥x⊤Ay∗§ExpectedE[u1]=x⊤ ⁣A y\mathbb{E}[u_1] = x^\top\! A \, yE[u1​]=x⊤Ay
0∑×$0 sometimesAlpha v0.1.0

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American Tower Corporation (REI — Real Estate · REIT - Specialty

$169.55+0.44 (+0.26%)
Mkt Cap
$79.00B
P/E
27.3
EPS
$6.21
Beta
0.89
Yield
413.00%
52W Hi
$214.79
52W Lo
$160.06
Vol
3.3M

Price History

Chart Terminal →Technical Analysis →

Company Profile

Sector
Real Estate
Industry
REIT - Specialty
Employees
4,866
HQ
Boston, MA, United States
Web
americantower.com

American Tower Corporation one of the largest global REITs, is a leading independent owner, operator and developer of multitenant communications real estate with a portfolio of over 148,000 communications sites and a highly interconnected footprint of U.S. data center facilities. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Top Executives

NameTitleTotal Pay
Mr. Steven O. Vondran J.D.President, CEO & Director$3.3M
Mr. Rodney M. SmithExecutive VP, CFO & Treasurer$1.6M
Mr. Eugene M. NoelExecutive VP & COO$1.6M
Ms. Ruth T. DowlingExecutive VP, Chief Administrative Officer, General Counsel & Secretary$1.5M
Mr. Paul BlanchettSVP & Chief Accounting Officer—
Mr. Spencer Harris KurnSenior Vice President of Investor Relations—
Ms. Brenna D. JonesSVP & Chief Human Resources Officer—
Ms. Colleen Richards PowellSenior VP & Chief Diversity, Equity and Inclusion Officer—
Mr. Julian PlumsteadSenior Vice President of M&A and Business Development - Europe, Africa and Latin America—
Mr. Juan A. FontSenior VP and President & CEO of Coresite—

Financial Statements

✓
Profitable
4/5 periods
✓
Revenue Growing
+5.1% latest, 3/3 up
✓
Earnings Growing
+12.2% latest, 2/3 up
✗
Pays Dividend
No dividends
✓
Positive Margin
31.1% net margin

American Tower Corporation (REI

Real Estate \u00b7 REIT - Specialty

Market Cap$79.00B
Trailing P/E27.3
Forward P/E24.2
EPS (trailing)$6.21
EPS (forward)$7.00
Gross Margin73.8%
Operating Margin45.4%
Profit Margin31.1%
Dividend Rate$6.98/share
Dividend Yield413.0%
Payout Ratio82.3%

Revenue & Net Income

2021 – 2025, Annual

Revenue

Net Income

Profit Margins

2021 – 2025, Annual

Earnings Per Share

2021 – 2025, Annual

Dividends

No dividend history available.

Price Ranges

52-Week
$160.06$214.79
Fwd P/E24.2
Avg Volume3.3M
Shares Out0.47B

Key Ratios

Gross Margin73.8%
Operating Margin45.4%
Profit Margin31.1%
ROE33.9%
ROA4.9%
P/B21.2
D/E438.72
Current Ratio0.35
Dividend Rate$6.98
Payout Ratio82.3%

Cash & Debt

Cash 4%Debt 96%
Total Cash$1.76B
Total Debt$44.98B
Net Cash$-43.22B
Free Cash Flow$2.92B
Operating CF$5.77B

Ratings Snapshot

2.2 / 5
P/E2/5(27.3)
P/B1/5(21.2)
ROE5/5(33.9)
ROA3/5(4.9)
D/E1/5(438.7)
Liquidity1/5(0.4)

Growth Pulse

Revenue Growth+4.7%
Earnings Growth+138.5%

Analyst Recommendations

0m
Buy (25 analysts)
6
15
4
Strong Buy: 6
Buy: 15
Hold: 4
Sell: 0
Strong Sell: 0
MonthStr BuyBuyHoldSellStr Sell
0m615400
-1m615400
-2m614500
-3m514600

Income Snapshot 2025

Revenue
$10.6B
Net Income
$2.5B
Gross Margin
74.2%
Net Margin
23.8%
Op. Income
$4.9B
EPS
$5.41

Balance Sheet

2021 – 2025, Annual
Debt / Equity12.31x
High leverage — more debt than equity
Current Ratio0.40x
May struggle to pay near-term bills
Net Debt$43.49B
Total debt minus cash on hand

Assets vs Liabilities vs Equity

Assets = Liabilities + Equity. The green bar is what's left for shareholders after paying all debts.

Cash vs Debt

How much cash the company has on hand vs how much it owes in total debt.

Period Detail

PeriodAssetsLiabilitiesEquityCashDebtD/E
2021N/AN/AN/AN/AN/A—
2022$67.19B$54.79B$5.57B$2.03B$47.05B8.44x
2023$66.03B$55.16B$4.20B$1.75B$46.31B11.03x
2024$61.08B$51.43B$3.38B$2.00B$43.95B13.00x
2025$63.19B$52.84B$3.65B$1.47B$44.96B12.31x

Balance Sheet Snapshot 2025

Total Assets$63.19B
Total Liabilities$52.84B
Equity$3.65B
Retained Earnings$-5.09B
Goodwill$12.26B
Long-Term Debt$33.83B

Cash Flow Statement

2021 – 2025, Annual

Operating · Investing · Financing

Operating — cash from core business.Investing — buying/selling long-term assets.Financing — debt, equity & dividends.

Free Cash Flow

Operating cash flow minus capital expenditure — the cash available after maintaining operations.

PeriodOperatingInvestingFinancingFCFCapEx
2021$0$0$0$0$0
2022$4B$-2B$-1B$2B$-2B
2023$5B$-2B$-3B$3B$-2B
2024$5B$411M$-5B$4B$-2B
2025$5B$-2B$-4B$4B$-2B

Capital Allocation 2025

CapEx$1.68B
Dividends Paid$3.16B
Buybacks$364.6M
Debt Repaid$9.45B
Debt Issued$9.08B
Net Change Cash$-604.3M

Price History

Chart Terminal →Technical Analysis →

Company Profile

Sector
Real Estate
Industry
REIT - Specialty
Employees
4,866
HQ
Boston, MA, United States
Web
americantower.com

American Tower Corporation one of the largest global REITs, is a leading independent owner, operator and developer of multitenant communications real estate with a portfolio of over 148,000 communications sites and a highly interconnected footprint of U.S. data center facilities. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Top Executives

NameTitleTotal Pay
Mr. Steven O. Vondran J.D.President, CEO & Director$3.3M
Mr. Rodney M. SmithExecutive VP, CFO & Treasurer$1.6M
Mr. Eugene M. NoelExecutive VP & COO$1.6M
Ms. Ruth T. DowlingExecutive VP, Chief Administrative Officer, General Counsel & Secretary$1.5M
Mr. Paul BlanchettSVP & Chief Accounting Officer—
Mr. Spencer Harris KurnSenior Vice President of Investor Relations—
Ms. Brenna D. JonesSVP & Chief Human Resources Officer—
Ms. Colleen Richards PowellSenior VP & Chief Diversity, Equity and Inclusion Officer—
Mr. Julian PlumsteadSenior Vice President of M&A and Business Development - Europe, Africa and Latin America—
Mr. Juan A. FontSenior VP and President & CEO of Coresite—

Price Ranges

52-Week
$160.06$214.79
Fwd P/E24.2
Avg Volume3.3M
Shares Out0.47B

Key Ratios

Gross Margin73.8%
Operating Margin45.4%
Profit Margin31.1%
ROE33.9%
ROA4.9%
P/B21.2
D/E438.72
Current Ratio0.35
Dividend Rate$6.98
Payout Ratio82.3%

Cash & Debt

Cash 4%Debt 96%
Total Cash$1.76B
Total Debt$44.98B
Net Cash$-43.22B
Free Cash Flow$2.92B
Operating CF$5.77B

Ratings Snapshot

2.2 / 5
P/E2/5(27.3)
P/B1/5(21.2)
ROE5/5(33.9)
ROA3/5(4.9)
D/E1/5(438.7)
Liquidity1/5(0.4)

Growth Pulse

Revenue Growth+4.7%
Earnings Growth+138.5%

Analyst Recommendations

0m
Buy (25 analysts)
6
15
4
Strong Buy: 6
Buy: 15
Hold: 4
Sell: 0
Strong Sell: 0
MonthStr BuyBuyHoldSellStr Sell
0m615400
-1m615400
-2m614500
-3m514600

Financial Statements

✓
Profitable
4/5 periods
✓
Revenue Growing
+5.1% latest, 3/3 up
✓
Earnings Growing
+12.2% latest, 2/3 up
✗
Pays Dividend
No dividends
✓
Positive Margin
31.1% net margin

American Tower Corporation (REI

Real Estate \u00b7 REIT - Specialty

Market Cap$79.00B
Trailing P/E27.3
Forward P/E24.2
EPS (trailing)$6.21
EPS (forward)$7.00
Gross Margin73.8%
Operating Margin45.4%
Profit Margin31.1%
Dividend Rate$6.98/share
Dividend Yield413.0%
Payout Ratio82.3%

Revenue & Net Income

2021 – 2025, Annual

Revenue

Net Income

Profit Margins

2021 – 2025, Annual

Earnings Per Share

2021 – 2025, Annual

Dividends

No dividend history available.

Income Snapshot 2025

Revenue
$10.6B
Net Income
$2.5B
Gross Margin
74.2%
Net Margin
23.8%
Op. Income
$4.9B
EPS
$5.41

Balance Sheet

2021 – 2025, Annual
Debt / Equity12.31x
High leverage — more debt than equity
Current Ratio0.40x
May struggle to pay near-term bills
Net Debt$43.49B
Total debt minus cash on hand

Assets vs Liabilities vs Equity

Assets = Liabilities + Equity. The green bar is what's left for shareholders after paying all debts.

Cash vs Debt

How much cash the company has on hand vs how much it owes in total debt.

Period Detail

PeriodAssetsLiabilitiesEquityCashDebtD/E
2021N/AN/AN/AN/AN/A—
2022$67.19B$54.79B$5.57B$2.03B$47.05B8.44x
2023$66.03B$55.16B$4.20B$1.75B$46.31B11.03x
2024$61.08B$51.43B$3.38B$2.00B$43.95B13.00x
2025$63.19B$52.84B$3.65B$1.47B$44.96B12.31x

Balance Sheet Snapshot 2025

Total Assets$63.19B
Total Liabilities$52.84B
Equity$3.65B
Retained Earnings$-5.09B
Goodwill$12.26B
Long-Term Debt$33.83B

Cash Flow Statement

2021 – 2025, Annual

Operating · Investing · Financing

Operating — cash from core business.Investing — buying/selling long-term assets.Financing — debt, equity & dividends.

Free Cash Flow

Operating cash flow minus capital expenditure — the cash available after maintaining operations.

PeriodOperatingInvestingFinancingFCFCapEx
2021$0$0$0$0$0
2022$4B$-2B$-1B$2B$-2B
2023$5B$-2B$-3B$3B$-2B
2024$5B$411M$-5B$4B$-2B
2025$5B$-2B$-4B$4B$-2B

Capital Allocation 2025

CapEx$1.68B
Dividends Paid$3.16B
Buybacks$364.6M
Debt Repaid$9.45B
Debt Issued$9.08B
Net Change Cash$-604.3M
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