◆ Market Data --:--
Commodities
Loading...
📈 Yields & Rates
Loading...
💱 FX Rates
Loading...
📈 Market Pulse
Loading...
🏛 Congress Trades
Loading...
👤 Insider Trades
Loading...

FRONTIER COMMUNICATIONS PARENT, INC.

CIK: 20520 SIC: 4813 DALLAS, TX
Loading stock data...
Key Financial Metrics (TTM | FY 2024)
$6.11B
Revenue
$-381.00M
Net Income
-1.53
EPS (Diluted)
$-2.26B
Free Cash Flow
Profitability
Gross Margin 65.05%
Operating Margin 5.29%
Net Profit Margin -6.24%
EBITDA $2.57B
Returns & Efficiency
Return on Assets (ROA) -1.76%
Return on Equity (ROE) -8.11%
Gross Profit $3.97B
Operating Income $323.00M
Financial Health
Total Assets $21.63B
Total Debt $12.01B
Debt to Equity 3.60x
Current Ratio 0.30
Debt Analysis
Debt to EBITDA -
Debt to Free Cash Flow -
Cash & Equivalents -
Net Debt -
Capital Returns
Return on Invested Capital (ROIC) -
Invested Capital -
Stockholders Equity -
Revenue Growth -
Market Valuation
Market Cap -
P/E Ratio -
Price to Book -
EPS (Diluted) $-1.53
Quick Access Filings
10-K
Annual Report

Loading...

10-Q
Quarterly Report

Loading...

8-K
Recent News

Loading...

Company Data Library
Earnings Transcripts
Loading...
Press Releases
Loading...
Filing Sections
Loading...
Financial Charts Annual (10-K)
Interactive financial visualizations
Show:
Revenue & Income Trends
Revenue & Profit
Profit Margins
Balance Sheet Breakdown
Assets Composition
Capital Structure
Cash Flow Analysis
Cash Flow Components
Free Cash Flow
Growth & Performance
Revenue Growth Rate (YoY %)
Key Ratio Trends
Insider Transactions
Neutral Open Market Buys: - Open Market Sales: - Option Exercise & Sale: - Net: -
Loading...
Loading insider transactions...
My Notes & Files
Personal Notes
Attached Files
Loading...
SEC Filings by Category
Insider Trading Activity
Neutral 0 Buys $0 0 Sales $0 0 Exercises $0 Net: $0
Insider Title Date Type Shares Price Value
Company Information
Business Address 1919 MCKINNEY AVENUE
DALLAS, TX 75201
Phone 2036145600
Incorporated None, None
EIN 862359749
Fiscal Year End 1231
Shares Outstanding 250.32M
Stockholders' Equity $4.70B
Cash & Equivalents $336.00M
Recent Filings View All
SCHEDULE 13G/A Amended Schedule 13G
Amendment to Schedule 13G
Filed: 2026-02-12
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-10-28
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-07-29
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2025-04-29
Local
DEF 14A Definitive Proxy Statement
Official proxy statement for shareholder voting
Filed: 2025-04-09
Local
10-K Annual Report
Comprehensive annual financial report with audited statements
Filed: 2025-02-20
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-11-05
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-08-02
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2024-05-03
Local
DEF 14A Definitive Proxy Statement
Official proxy statement for shareholder voting
Filed: 2024-04-03
Local
10-K Annual Report
Comprehensive annual financial report with audited statements
Filed: 2024-02-23
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2023-11-01
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2023-08-04
Local
10-Q Quarterly Report
Quarterly financial report with unaudited statements
Filed: 2023-05-05
Local
DEF 14A Definitive Proxy Statement
Official proxy statement for shareholder voting
Filed: 2023-04-06
Local
Financial Statistics
Valuation
Market Cap -
P/E Ratio (TTM) -
Price to Book -
EV/Revenue -
EV/EBITDA -
Profitability
Gross Margin 65.1%
Operating Margin 5.3%
Net Margin -6.2%
ROE -8.1%
ROA -1.8%
Leverage & Liquidity
Debt to Equity 3.60
Current Ratio 0.30
Total Debt $12.01B
Total Assets $21.63B
Stockholders' Equity $4.70B
Income Statement (FY 2024)
Revenue $6.11B
Gross Profit $3.97B
Operating Income $323.00M
Net Income $-381.00M
EPS (Diluted) $-1.53
Cash Flow (FY 2024)
Free Cash Flow $-2.26B
Cash & Equivalents $336.00M
Revenue Growth 2.8%
Loading...

Loading management data...

Loading...

Loading board of directors...

Loading...

Loading institutional holders...

NEWS
Loading news...
TRENDING
Loading...