US Stock MarketDetailed Quotes

UNIT Uniti Group Inc

Watchlist
  • 5.910
  • +0.030+0.51%
Close Nov 29 13:00 ET
  • 5.990
  • +0.080+1.35%
Post 17:01 ET
1.44BMarket Cap13.74P/E (TTM)

Uniti Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-0.12%34.08M
211.35%118.76M
-38.79%43.06M
42.15%62.26M
42.15%62.26M
-21.37%34.12M
-37.88%38.15M
37.59%70.35M
-25.64%43.8M
-25.64%43.8M
-Cash and cash equivalents
-0.12%34.08M
211.35%118.76M
-38.79%43.06M
42.15%62.26M
42.15%62.26M
-21.37%34.12M
-37.88%38.15M
37.59%70.35M
-25.64%43.8M
-25.64%43.8M
Receivables
17.00%157.43M
27.27%158.36M
13.25%145.24M
23.48%137.35M
23.48%137.35M
30.06%134.56M
22.84%124.44M
42.29%128.25M
39.42%111.23M
39.42%111.23M
-Accounts receivable
17.00%157.43M
27.27%158.36M
13.25%145.24M
23.48%137.35M
23.48%137.35M
30.06%134.56M
22.84%124.44M
42.29%128.25M
39.42%111.23M
39.42%111.23M
Restricted cash
--19.31M
--12.73M
--7.68M
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----
----
----
----
----
----
Total current assets
24.98%210.82M
78.28%289.86M
-1.31%195.99M
47.21%228.22M
47.21%228.22M
14.86%168.68M
-0.08%162.58M
40.58%198.59M
11.79%155.03M
11.79%155.03M
Non current assets
Net PPE
4.87%4.28B
5.03%4.22B
5.93%4.17B
6.87%4.11B
6.87%4.11B
8.05%4.08B
8.70%4.02B
8.61%3.94B
7.07%3.84B
7.07%3.84B
-Gross PPE
4.33%10.69B
4.43%10.57B
4.75%10.46B
5.19%10.33B
5.19%10.33B
5.75%10.25B
5.77%10.12B
5.87%9.99B
5.21%9.82B
5.21%9.82B
-Accumulated depreciation
-3.97%-6.41B
-4.03%-6.34B
-3.98%-6.29B
-4.11%-6.22B
-4.11%-6.22B
-4.28%-6.17B
-3.92%-6.1B
-4.15%-6.05B
-4.05%-5.97B
-4.05%-5.97B
Goodwill and other intangible assets
-15.49%440.22M
-34.30%447.64M
-33.93%455.07M
-33.57%462.5M
-33.57%462.5M
-28.46%520.92M
-28.40%681.35M
-28.18%688.78M
-27.97%696.22M
-27.97%696.22M
-Goodwill
-24.47%157.38M
-56.45%157.38M
-56.45%157.38M
-56.45%157.38M
-56.45%157.38M
-46.00%208.38M
-39.96%361.38M
-39.96%361.38M
-39.96%361.38M
-39.96%361.38M
-Other intangible assets
-9.50%282.84M
-9.28%290.26M
-9.08%297.69M
-8.88%305.12M
-8.88%305.12M
-8.69%312.54M
-8.51%319.97M
-8.34%327.4M
-8.17%334.85M
-8.17%334.85M
Investments and advances
----
----
----
--0
--0
-3.34%37.69M
-3.31%38.01M
-40.41%38.34M
-39.81%38.66M
-39.81%38.66M
Financial assets
--231K
--1.62M
--1.85M
----
----
----
----
----
----
----
Non current deferred assets
36.66%124.08M
141.96%117.78M
164.85%114.9M
168.58%109.13M
168.58%109.13M
171.47%90.79M
157.45%48.68M
181.99%43.38M
246.65%40.63M
246.65%40.63M
Other non current assets
-49.37%40M
-51.95%40.7M
-45.80%42.47M
52.22%118.12M
52.22%118.12M
-5.69%79M
-0.33%84.7M
-3.91%78.36M
99.48%77.6M
99.48%77.6M
Total non current assets
1.56%4.89B
-0.87%4.83B
-0.02%4.79B
2.14%4.8B
2.14%4.8B
3.18%4.81B
1.66%4.87B
0.86%4.79B
0.55%4.7B
0.55%4.7B
Total assets
2.36%5.1B
1.68%5.12B
-0.07%4.98B
3.58%5.03B
3.58%5.03B
3.54%4.98B
1.60%5.03B
2.01%4.99B
0.87%4.85B
0.87%4.85B
Liabilities
Current liabilities
Payables
-40.29%190.99M
-39.86%206.47M
-31.48%268.13M
-14.52%319.09M
-14.52%319.09M
-17.08%319.88M
-8.93%343.31M
-2.56%391.3M
13.98%373.3M
13.98%373.3M
-accounts payable
-28.45%95.84M
-35.66%87.11M
-28.45%90.04M
-2.34%119.34M
-2.34%119.34M
-2.23%133.96M
3.28%135.38M
3.01%125.83M
40.66%122.2M
40.66%122.2M
-Dividends payable
-97.10%2K
1,543.48%1.13M
3.33%37.05M
1,808,000.00%36.16M
1,808,000.00%36.16M
-89.51%69K
-90.74%69K
-3.47%35.86M
-99.84%2K
-99.84%2K
-Other payable
-48.81%95.15M
-43.12%118.23M
-38.57%141.04M
-34.85%163.58M
-34.85%163.58M
-25.09%185.86M
-15.22%207.86M
-5.22%229.61M
4.89%251.1M
4.89%251.1M
Current accrued expenses
11.39%56.56M
-9.15%142.23M
-28.78%51.8M
10.19%133.68M
10.19%133.68M
-12.22%50.78M
19.44%156.56M
6.48%72.73M
10.46%121.32M
10.46%121.32M
Current deferred liabilities
7.04%1.3B
2.35%1.24B
0.09%1.23B
7.03%1.27B
7.03%1.27B
1.41%1.21B
3.73%1.21B
8.09%1.23B
4.92%1.19B
4.92%1.19B
Other current liabilities
----
----
----
--331K
--331K
----
----
----
----
----
Current liabilities
-2.37%1.55B
-7.16%1.59B
-8.46%1.55B
2.50%1.73B
2.50%1.73B
-3.42%1.58B
2.11%1.71B
5.36%1.69B
7.19%1.68B
7.19%1.68B
Non current liabilities
Long term debt and capital lease obligation
3.48%5.88B
6.91%5.87B
5.56%5.76B
6.74%5.63B
6.74%5.63B
8.03%5.68B
6.08%5.49B
5.05%5.46B
2.08%5.27B
2.08%5.27B
-Long term debt
3.59%5.78B
7.03%5.77B
5.27%5.66B
6.45%5.52B
6.45%5.52B
7.78%5.58B
5.74%5.39B
5.02%5.38B
1.93%5.19B
1.93%5.19B
-Long term capital lease obligation
-3.05%96.65M
-0.11%97.92M
24.95%100.25M
25.21%102.51M
25.21%102.51M
24.22%99.69M
28.92%98.03M
7.23%80.23M
12.63%81.88M
12.63%81.88M
Other non current liabilities
-6.72%148.38M
-6.61%151.05M
-6.50%153.72M
-6.40%156.4M
-6.40%156.4M
-6.30%159.07M
-6.20%161.75M
-6.11%164.42M
-6.02%167.09M
-6.02%167.09M
Total non current liabilities
3.20%6.03B
6.52%6.02B
5.21%5.91B
6.34%5.78B
6.34%5.78B
7.56%5.84B
5.60%5.65B
4.55%5.62B
1.61%5.44B
1.61%5.44B
Total liabilities
2.01%7.57B
3.34%7.61B
2.05%7.46B
5.43%7.51B
5.43%7.51B
5.01%7.43B
4.77%7.37B
4.73%7.31B
2.88%7.12B
2.88%7.12B
Shareholders'equity
Share capital
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
4.35%24K
4.35%24K
4.35%24K
-common stock
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
0.00%24K
4.35%24K
4.35%24K
4.35%24K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-1.18%-3.71B
-4.88%-3.72B
-4.66%-3.7B
-6.45%-3.71B
-6.45%-3.71B
-5.04%-3.67B
-7.59%-3.55B
-6.69%-3.54B
-4.50%-3.48B
-4.50%-3.48B
Paid-in capital
1.10%1.23B
1.09%1.23B
0.98%1.22B
0.97%1.22B
0.97%1.22B
-0.74%1.22B
-0.75%1.22B
-0.65%1.21B
-0.39%1.21B
-0.39%1.21B
Gains losses not affecting retained earnings
---820K
--136K
---167K
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----
----
----
----
----
----
Total stockholders'equity
-1.25%-2.48B
-6.85%-2.49B
-6.59%-2.48B
-9.36%-2.49B
-9.36%-2.49B
-8.14%-2.45B
-12.33%-2.33B
-10.63%-2.33B
-6.85%-2.27B
-6.85%-2.27B
Noncontrolling interests
-57.82%966K
-58.80%965K
-3.11%2.27M
-4.22%2.27M
-4.22%2.27M
-0.52%2.29M
0.86%2.34M
-78.74%2.35M
-83.09%2.37M
-83.09%2.37M
Total equity
-1.30%-2.48B
-6.91%-2.49B
-6.60%-2.48B
-9.37%-2.48B
-9.37%-2.48B
-8.15%-2.44B
-12.34%-2.33B
-11.10%-2.32B
-7.45%-2.27B
-7.45%-2.27B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -0.12%34.08M211.35%118.76M-38.79%43.06M42.15%62.26M42.15%62.26M-21.37%34.12M-37.88%38.15M37.59%70.35M-25.64%43.8M-25.64%43.8M
-Cash and cash equivalents -0.12%34.08M211.35%118.76M-38.79%43.06M42.15%62.26M42.15%62.26M-21.37%34.12M-37.88%38.15M37.59%70.35M-25.64%43.8M-25.64%43.8M
Receivables 17.00%157.43M27.27%158.36M13.25%145.24M23.48%137.35M23.48%137.35M30.06%134.56M22.84%124.44M42.29%128.25M39.42%111.23M39.42%111.23M
-Accounts receivable 17.00%157.43M27.27%158.36M13.25%145.24M23.48%137.35M23.48%137.35M30.06%134.56M22.84%124.44M42.29%128.25M39.42%111.23M39.42%111.23M
Restricted cash --19.31M--12.73M--7.68M----------------------------
Total current assets 24.98%210.82M78.28%289.86M-1.31%195.99M47.21%228.22M47.21%228.22M14.86%168.68M-0.08%162.58M40.58%198.59M11.79%155.03M11.79%155.03M
Non current assets
Net PPE 4.87%4.28B5.03%4.22B5.93%4.17B6.87%4.11B6.87%4.11B8.05%4.08B8.70%4.02B8.61%3.94B7.07%3.84B7.07%3.84B
-Gross PPE 4.33%10.69B4.43%10.57B4.75%10.46B5.19%10.33B5.19%10.33B5.75%10.25B5.77%10.12B5.87%9.99B5.21%9.82B5.21%9.82B
-Accumulated depreciation -3.97%-6.41B-4.03%-6.34B-3.98%-6.29B-4.11%-6.22B-4.11%-6.22B-4.28%-6.17B-3.92%-6.1B-4.15%-6.05B-4.05%-5.97B-4.05%-5.97B
Goodwill and other intangible assets -15.49%440.22M-34.30%447.64M-33.93%455.07M-33.57%462.5M-33.57%462.5M-28.46%520.92M-28.40%681.35M-28.18%688.78M-27.97%696.22M-27.97%696.22M
-Goodwill -24.47%157.38M-56.45%157.38M-56.45%157.38M-56.45%157.38M-56.45%157.38M-46.00%208.38M-39.96%361.38M-39.96%361.38M-39.96%361.38M-39.96%361.38M
-Other intangible assets -9.50%282.84M-9.28%290.26M-9.08%297.69M-8.88%305.12M-8.88%305.12M-8.69%312.54M-8.51%319.97M-8.34%327.4M-8.17%334.85M-8.17%334.85M
Investments and advances --------------0--0-3.34%37.69M-3.31%38.01M-40.41%38.34M-39.81%38.66M-39.81%38.66M
Financial assets --231K--1.62M--1.85M----------------------------
Non current deferred assets 36.66%124.08M141.96%117.78M164.85%114.9M168.58%109.13M168.58%109.13M171.47%90.79M157.45%48.68M181.99%43.38M246.65%40.63M246.65%40.63M
Other non current assets -49.37%40M-51.95%40.7M-45.80%42.47M52.22%118.12M52.22%118.12M-5.69%79M-0.33%84.7M-3.91%78.36M99.48%77.6M99.48%77.6M
Total non current assets 1.56%4.89B-0.87%4.83B-0.02%4.79B2.14%4.8B2.14%4.8B3.18%4.81B1.66%4.87B0.86%4.79B0.55%4.7B0.55%4.7B
Total assets 2.36%5.1B1.68%5.12B-0.07%4.98B3.58%5.03B3.58%5.03B3.54%4.98B1.60%5.03B2.01%4.99B0.87%4.85B0.87%4.85B
Liabilities
Current liabilities
Payables -40.29%190.99M-39.86%206.47M-31.48%268.13M-14.52%319.09M-14.52%319.09M-17.08%319.88M-8.93%343.31M-2.56%391.3M13.98%373.3M13.98%373.3M
-accounts payable -28.45%95.84M-35.66%87.11M-28.45%90.04M-2.34%119.34M-2.34%119.34M-2.23%133.96M3.28%135.38M3.01%125.83M40.66%122.2M40.66%122.2M
-Dividends payable -97.10%2K1,543.48%1.13M3.33%37.05M1,808,000.00%36.16M1,808,000.00%36.16M-89.51%69K-90.74%69K-3.47%35.86M-99.84%2K-99.84%2K
-Other payable -48.81%95.15M-43.12%118.23M-38.57%141.04M-34.85%163.58M-34.85%163.58M-25.09%185.86M-15.22%207.86M-5.22%229.61M4.89%251.1M4.89%251.1M
Current accrued expenses 11.39%56.56M-9.15%142.23M-28.78%51.8M10.19%133.68M10.19%133.68M-12.22%50.78M19.44%156.56M6.48%72.73M10.46%121.32M10.46%121.32M
Current deferred liabilities 7.04%1.3B2.35%1.24B0.09%1.23B7.03%1.27B7.03%1.27B1.41%1.21B3.73%1.21B8.09%1.23B4.92%1.19B4.92%1.19B
Other current liabilities --------------331K--331K--------------------
Current liabilities -2.37%1.55B-7.16%1.59B-8.46%1.55B2.50%1.73B2.50%1.73B-3.42%1.58B2.11%1.71B5.36%1.69B7.19%1.68B7.19%1.68B
Non current liabilities
Long term debt and capital lease obligation 3.48%5.88B6.91%5.87B5.56%5.76B6.74%5.63B6.74%5.63B8.03%5.68B6.08%5.49B5.05%5.46B2.08%5.27B2.08%5.27B
-Long term debt 3.59%5.78B7.03%5.77B5.27%5.66B6.45%5.52B6.45%5.52B7.78%5.58B5.74%5.39B5.02%5.38B1.93%5.19B1.93%5.19B
-Long term capital lease obligation -3.05%96.65M-0.11%97.92M24.95%100.25M25.21%102.51M25.21%102.51M24.22%99.69M28.92%98.03M7.23%80.23M12.63%81.88M12.63%81.88M
Other non current liabilities -6.72%148.38M-6.61%151.05M-6.50%153.72M-6.40%156.4M-6.40%156.4M-6.30%159.07M-6.20%161.75M-6.11%164.42M-6.02%167.09M-6.02%167.09M
Total non current liabilities 3.20%6.03B6.52%6.02B5.21%5.91B6.34%5.78B6.34%5.78B7.56%5.84B5.60%5.65B4.55%5.62B1.61%5.44B1.61%5.44B
Total liabilities 2.01%7.57B3.34%7.61B2.05%7.46B5.43%7.51B5.43%7.51B5.01%7.43B4.77%7.37B4.73%7.31B2.88%7.12B2.88%7.12B
Shareholders'equity
Share capital 0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K4.35%24K4.35%24K4.35%24K
-common stock 0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K0.00%24K4.35%24K4.35%24K4.35%24K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -1.18%-3.71B-4.88%-3.72B-4.66%-3.7B-6.45%-3.71B-6.45%-3.71B-5.04%-3.67B-7.59%-3.55B-6.69%-3.54B-4.50%-3.48B-4.50%-3.48B
Paid-in capital 1.10%1.23B1.09%1.23B0.98%1.22B0.97%1.22B0.97%1.22B-0.74%1.22B-0.75%1.22B-0.65%1.21B-0.39%1.21B-0.39%1.21B
Gains losses not affecting retained earnings ---820K--136K---167K----------------------------
Total stockholders'equity -1.25%-2.48B-6.85%-2.49B-6.59%-2.48B-9.36%-2.49B-9.36%-2.49B-8.14%-2.45B-12.33%-2.33B-10.63%-2.33B-6.85%-2.27B-6.85%-2.27B
Noncontrolling interests -57.82%966K-58.80%965K-3.11%2.27M-4.22%2.27M-4.22%2.27M-0.52%2.29M0.86%2.34M-78.74%2.35M-83.09%2.37M-83.09%2.37M
Total equity -1.30%-2.48B-6.91%-2.49B-6.60%-2.48B-9.37%-2.48B-9.37%-2.48B-8.15%-2.44B-12.34%-2.33B-11.10%-2.32B-7.45%-2.27B-7.45%-2.27B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

Analysis

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