Return on Equity (ROE)
Updated 1928h ago
Sector Performance
6th percentileCCI
-27.2%
Sector Median
13.8%
Sector Avg
31.4%
Deep Analysis
Return on Equity (ROE) measures how much profit a company generates for each dollar of shareholders' equity.
CCI’s current ROE of -27.2% means the company is losing money relative to its equity base, signaling poor profitability. Compared to sector peers, this is far below the sector median of 13.5%, placing CCI in the 8th percentile — meaning 92% of peers have higher ROE. No year-over-year or quarter-over-quarter changes are available, and no trend data for the last eight quarters exists, so the direction of this metric cannot be assessed. The combination of a deeply negative ROE with no trend information implies elevated investment risk without a clear signal of improvement or deterioration. This metric directly contradicts the overall NEUTRAL verdict, as a -27.2% ROE in the bottom 8% of the sector is a strongly negative indicator that would typically warrant a bearish assessment.
Frequently Asked Questions
What does the Return on Equity (ROE) tell investors about CCI?
ROE measures how effectively management turns equity into profit. Consistently above 15% is typically considered strong. Negative equity distorts this metric.
How is the Return on Equity (ROE) calculated?
Return on Equity (ROE) is calculated as: Net Income / Shareholders' Equity.
Who are CCI's closest peers by Return on Equity (ROE)?
The closest peers by Return on Equity (ROE) include: MRNA (-36.6%), FICO (-37.3%), XRAY (-37.7%), VRSN (-38.3%), MSCI (-45.3%).
The Formula
Net Income / Shareholders' Equity
Why It Matters
ROE measures how effectively management turns equity into profit. Consistently above 15% is typically considered strong. Negative equity distorts this metric.
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-27.2%
Sector Median
13.8%
Sector Avg
31.4%
How CCI's Return on Equity (ROE) compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.