# Caesars Entertainment, Inc. Common Stock (CZR) — Stock CV

Caesars Entertainment, Inc. is a $6.01B consumer company. Revenue grew 2.4% over the last year, it currently loses money, and its net debt equals ~17.7 years of free cash flow.

> 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 managed properties and digital assets that produced marginal EBITDA in 2025.

## Identity

- **Ticker**: CZR
- **Sector**: Consumer Cyclical
- **Industry**: Hotels & Motels
- **Headquarters**: RENO, NV
- **Employees**: 50 000
- **Website**: https://www.caesars.com
- **Market cap**: $6.01B
- **Last price**: $29.50
- **Financial profile**: Strained

## Vitals (TTM)

- **Revenue**: $11.6B
- **Net income**: -$465M
- **Free cash flow**: $610M
- **Net debt**: $10.8B
- **Revenue growth (YoY)**: 2.4%

## Skills (profile scores, 0–100)

| Pillar | Score |
|---|---|
| Valuation | 95 |
| Growth | 6 |
| Profitability | 20 |
| Health | 14 |
| Quality | 52 |
| Moat | 38 |

## Qualifications (beginner checklist) — 4 of 9 passed

- [x] Revenue growing — +2.4% YoY
- [ ] Profitable — -$465M TTM
- [ ] Profit growing — -80.6% YoY
- [x] Generates cash — $610M TTM
- [ ] Debt under control — ~17.7y of cash flow to repay
- [x] Established company — $6.01B market cap
- [ ] Not printing shares — +60.0% shares over ~5y
- [x] Proven track record — 5/10 profitable years
- [ ] Financially stable — health score 9/100

## Experience (career milestones)

- **FY2023** — Best year on record: $786M net income
- **FY2022** — Revenue crossed $10B: $10.8B for the year
- **FY2017** — Revenue crossed $1B: $1.47B for the year
- **FY2016** — First recorded profitable year: $24.8M net income

## Strengths

- High gross margin (46.8%)

## Watch-outs

- Not profitable — 4.0% net margin
- Thin interest coverage (0.8×)
- Loss-making in 5 of the recent years
- Net debt equals ~17.7 years of free cash flow

## Track record

| Year | Revenue | Net income | Free cash flow |
|---|---|---|---|
| FY2021 | $9.57B | -$1.02B | $679M |
| FY2022 | $10.8B | -$899M | $41.0M |
| FY2023 | $11.5B | $786M | $545M |
| FY2024 | $11.2B | -$278M | -$221M |
| FY2025 | $11.5B | -$502M | $497M |

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Source: https://stockcv.com/CZR — derived from company filings; may be delayed or incomplete. Information, not investment advice.
