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COMMCommScope Holding Company, Inc.
$17.82$3.9B
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HomeStocksCOMMBalance Sheet

CommScope Holding Company, Inc. (COMM) Balance Sheet

14Y historyFree accessUpdated daily

The company's capital structure remains highly leveraged with $7.4 billion in total debt and a negative equity position of $1.1 billion as of 2025Q3.

COMM Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'24Dec'23Dec'22Dec'21Dec'20Dec'19Dec'18Dec'17Dec'16Dec'15Dec'14Dec'13Dec'12Dec'11
Total Current Assets2.8B3.48B2.86B3.73B3.58B3.35B3.51B1.88B1.94B1.99B2B1.83B1.45B1.29B1.37B
Cash & Short-Term Investments705.3M564.9M543.8M373M360.3M521.9M598.2M458.19M453.98M428.23M562.88M729.32M346.32M264.38M317.1M
Cash Only705.3M564.9M543.8M373M360.3M521.9M598.2M458.19M453.98M428.23M562.88M729.32M346.32M264.38M317.1M
Short-Term Investments000000000000000
Accounts Receivable1.04B685.9M815.2M1.18B1.53B1.49B1.7B810.36M898.83M952.37M833.04M612.01M607.49M596.05M581.78M
Days Sales Outstanding60.459.5365.1857.1565.1564.3674.364.7471.9470.679.8558.3363.7165.4964.83
Inventory798.4M736.8M1.08B1.38B1.44B1.09B975.9M473.33M444.94M473.27M441.81M367.19M372.19M311.97M338.08M
Days Inventory Outstanding85.4993.82122.9493.5481.0462.954.5154.9453.0154.267.7555.159.650.3647.11
Other Current Assets257.2M1.5B424M798.9M251M256.3M238.9M135.94M146.11M139.9M166.9M119.11M127.43M61.07M77.4M
Total Non-Current Assets5.14B5.26B6.51B7.96B9.68B10.22B10.92B4.75B5.1B5.15B5.5B3.13B3.28B3.51B3.79B
Property, Plant & Equipment458.7M342.2M657.8M742.9M818.8M843.8M723.8M450.86M467.29M474.99M528.71M289.37M310.14M355.21M407.56M
Fixed Asset Turnover14.32x12.29x6.94x10.13x10.49x10.00x11.53x10.13x9.76x10.37x7.20x13.23x11.22x9.35x8.04x
Goodwill2.92B2.87B3.51B4.07B5.23B5.29B5.47B2.85B2.89B2.77B2.69B1.45B1.45B1.47B1.48B
Intangible Assets1.06B1.22B1.58B1.92B3.03B3.65B4.26B1.35B1.64B1.8B2.15B1.26B1.42B1.58B1.78B
Long-Term Investments000000-215.1M-83.34M-134.24M-199.12M-202.49M-51.23M-55.61M4.5M0
Other Non-Current Assets204.3M299.6M138.7M734.3M174.9M153.5M460.7M97.56M107.8M105.86M131.17M126.08M97.79M98.18M110.81M
Total Assets7.94B8.75B9.37B11.69B13.26B13.58B14.43B6.63B7.04B7.14B7.5B4.96B4.73B4.79B5.15B
Asset Turnover0.66x0.48x0.49x0.64x0.65x0.62x0.58x0.69x0.65x0.69x0.51x0.77x0.74x0.69x0.64x
Asset Growth %-42.02%-6.66%-19.8%-11.87%-2.34%-5.92%117.65%-5.84%-1.4%-4.81%51.39%4.69%-1.24%-6.98%-
Total Current Liabilities1.24B1.23B1.41B2.11B2.18B1.95B2.04B690.62M723.72M857.82M685.09M475.81M593.38M549.62M513.7M
Accounts Payable592.5M370.7M435.9M684.3M1.16B1.01B1.15B399.24M436.74M415.92M300.83M177.81M251.64M194.3M180.74M
Days Payables Outstanding53.6947.249.6346.5265.5158.3964.1346.3452.0347.6346.1326.6840.331.3625.18
Short-Term Debt30.7M33.7M32M76.4M78.7M94.4M32M0012.5M12.52M9M9.46M10.78M12.32M
Deferred Revenue (Current)228M085.4M88.9M94.6M90M82.6M7.55M12.61M25.86M23.81M25.89M21.5M37.66M35.74M
Other Current Liabilities236.2M791.6M641M972M543.8M467.3M514.6M229.1M159.9M183.63M200.66M105.53M185.89M192.2M196.65M
Current Ratio2.25x2.83x2.03x1.77x1.64x1.72x1.72x2.72x2.69x2.32x2.93x3.84x2.45x2.34x2.66x
Quick Ratio1.61x2.23x1.27x1.12x0.98x1.16x1.24x2.03x2.07x1.77x2.28x3.07x1.82x1.77x2.00x
Cash Conversion Cycle92.2106.14138.48104.1780.6768.8764.6973.3472.9177.17101.4786.7583.0284.4986.75
Total Non-Current Liabilities7.76B9.75B9.77B10.02B10.18B10.23B10.55B4.18B4.67B4.89B5.59B3.17B3.05B3.06B3.27B
Long-Term Debt7.25B9.24B9.25B9.47B9.48B9.49B9.8B3.99B4.37B4.55B5.23B2.7B2.51B2.46B2.55B
Capital Lease Obligations436M111.7M0119.4M140.8M119.1M160.4M000000-72.32M-124.13M
Deferred Tax Liabilities380.1M99.4M110.7M115.5M208.2M206.2M215.1M83.34M134.24M199.12M202.49M339.94M386.53M429.31M492.73M
Other Non-Current Liabilities216.6M212.9M411.9M262M288.9M412.7M377.4M113.91M166.48M141.45M161.2M133.78M161.04M99.74M106.86M
Total Liabilities9.01B10.98B11.18B12.13B12.36B12.18B12.6B4.87B5.39B5.75B6.28B3.65B3.65B3.61B3.79B
Total Debt7.4B9.39B9.32B9.67B9.7B9.7B10.05B3.99B4.37B4.56B5.24B2.71B2.51B2.47B2.56B
Net Debt6.69B8.82B8.77B9.29B9.34B9.18B9.46B3.53B3.92B4.13B4.68B1.98B2.17B2.21B2.25B
Debt / Equity-6.94x---10.78x6.95x5.48x2.27x2.65x3.27x4.29x2.07x2.31x2.09x1.88x
Debt / EBITDA6.34x13.38x11.92x7.42x8.98x8.89x11.33x4.59x4.77x4.16x10.81x3.24x3.69x4.38x6.64x
Net Debt / EBITDA5.74x12.57x11.22x7.13x8.65x8.41x10.65x4.06x4.27x3.77x9.65x2.36x3.18x3.91x5.82x
Interest Coverage1.18x0.48x0.33x1.03x0.52x0.46x0.26x2.18x2.19x2.59x0.77x3.23x2.04x1.63x0.37x
Total Equity-1.07B-2.23B-1.81B-445.7M899.5M1.4B1.84B1.76B1.65B1.39B1.22B1.31B1.09B1.18B1.37B
Equity Growth %110.1%-23.36%-305.36%-149.55%-35.6%-23.93%4.53%6.61%18.2%14.02%-6.49%20.18%-7.97%-13.39%-
Book Value per Share-3.84-10.40-8.57-2.154.427.109.489.008.377.106.446.836.636.377.35
Total Shareholders' Equity-1.07B-2.23B-1.81B-445.7M899.5M1.4B1.84B1.76B1.65B1.39B1.22B1.31B1.09B1.18B1.37B
Common Stock2.4M2.3M2.3M2.2M2.2M2.1M2M1.99M1.97M1.95M1.92M1.89M1.87M1.56M1.55M
Retained Earnings-4.4B-5.32B-4.95B-3.5B-2.22B-1.75B-1.18B-249.78M-396M-589.56M-812.39M-741.52M-978.29M-447.69M-252.31M
Treasury Stock-314.8M-303.6M-301.7M-292.6M-277.8M-251.4M-234.5M-221.32M-205.62M-15.21M-11.33M-10.63M-10.63M-10.32M-5.96M
Accumulated OCI-122.2M-344.5M-266.7M-296.3M-206.4M-155.9M-197M-159.21M-86.6M-285.11M-171.68M-83.55M-26.28M-16.65M-26.36M
Minority Interest000000000000000

Key Metrics

Growth RegimeAccelerating
ProfitabilityStrained
Balance SheetVulnerable
Cash FlowImproving
Top Statement Risk

High debt maturity wall

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2025Q3)

Negative Equity Persists Despite Recovery

According to the latest quarterly filings, CommScope’s shareholders' equity remains in negative territory at -$1.1 billion as of 2025Q3, reflecting the cumulative impact of historical net losses and restructuring charges that continue to weigh on the company's long-term capital position despite recent operational improvements.

The persistence of negative equity suggests that the company's historical capital allocation, particularly the ARRIS acquisition, has significantly eroded the book value of the firm. While the trajectory shows a slight narrowing of the deficit from the -$2.2 billion level seen in 2024Q4, the structural impairment of the balance sheet remains a primary concern for long-term solvency.

Leverage Remains Primary Structural Constraint

As reported in financial statements, CommScope maintains a substantial debt load of $7.4 billion as of 2025Q3, which, while reduced from the $9.4 billion peak in 2024, continues to dominate the capital structure and dictate the company's strategic flexibility in a high-interest-rate environment.

The concentration of debt relative to the company's asset base suggests that management is effectively forced into a deleveraging cycle, prioritizing debt service over growth investment. Investors should monitor whether the current pace of debt reduction is sufficient to address upcoming maturity walls without requiring further dilutive financing or asset divestitures.

Goodwill Concentration Masks Asset Quality

Based on recent balance sheet data, goodwill accounts for $2.9 billion of the company's $7.9 billion in total assets, indicating that a significant portion of the asset base is tied to intangible acquisition premiums rather than tangible productive capacity or physical infrastructure.

The high concentration of goodwill warrants further investigation into potential impairment risks, especially if the expected synergies from past acquisitions fail to materialize in the current demand environment. The relatively low net PPE of $458.7 million compared to total assets suggests an asset-light model that is highly dependent on the underlying value of its acquired intellectual property and brand positioning.

Liquidity Buffer Shows Recent Improvement

As indicated by the latest quarterly reports, CommScope’s current ratio has strengthened to 2.25 in 2025Q3, up from the 1.04 level observed in 2024Q2, suggesting a temporary improvement in the company's ability to cover short-term obligations through its current asset base.

This improvement in liquidity appears to be driven by more disciplined working capital management and the successful divestiture of non-core segments. However, the company's reliance on external financing to manage its debt maturity profile means that this liquidity buffer may be more fragile than the headline ratio implies.

Accumulated Deficit Distorts Equity Value

Financial statements reveal an accumulated deficit of -$4.4 billion as of 2025Q3, a figure that fundamentally distorts the company's book value and highlights the severe impact of past operational and strategic missteps on the firm's long-term equity position.

This massive deficit suggests that the company's reported equity is not a reflection of retained earnings but rather a testament to the erosion of capital over several years. Analysts should treat the negative equity position as a warning sign that the company's primary focus remains on survival and debt management rather than value creation for shareholders.

COMM — Frequently Asked Questions

Quick answers to the most common questions about buying COMM stock.

What are the total assets of CommScope Holding Company, Inc. (COMM)?

As of 2024, CommScope Holding Company, Inc. (COMM) had total assets of $8.75B including $3.48B in current assets.

How much debt does CommScope Holding Company, Inc. (COMM) have?

CommScope Holding Company, Inc. (COMM) carries total debt of $9.39B, offset by $564.9M in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of CommScope Holding Company, Inc.?

CommScope Holding Company, Inc. (COMM) has total shareholders' equity (book value) of $-2228.8M ($-10.40 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is CommScope Holding Company, Inc.'s current ratio and liquidity?

CommScope Holding Company, Inc. (COMM) reported a current ratio of 2.83x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.