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Stocks
Clear Channel Outdoor Holdings, Inc.
CCO

CCO Clear Channel Outdoor Holdings, Inc.

Clear Channel Outdoor Holdings, Inc. · NYSE
Market Closed
2.38
▲ ⁦+0.00%⁩ (0.00)
Market Cap$1.2B
Beta1.97
52w Low52w High
1.222.44
Last Week
⁦+0.42%⁩
Last Month
⁦-1.65%⁩
Last 3 Months
⁦-0.83%⁩
Last Year
⁦+88.89%⁩
EL7 Factor Analysis
How we score this
Overall45
Weak — below market medianSuper StockF 5/9DistressBetter than 45% of Market stocks, per EL7's model
FactorScoreDistributionValueAvgRank
▸
Valuation
76
—17.8xTop tier
▸
Growth
18
9.1%▲7.1%Bottom tier
▸
Quality
72
6.9%▲4.5%Top tier
▸
Safety
19
12.9x▼2.6xBottom tier
▸
Capital Return
26
—2.12%Bottom tier
▸
Momentum
79
91.3%▲2.9%Top tier
▸
Sentiment
22
33Bottom tier
Fair Value
Low confidenceCurrent price$2.38
Analyst target · 3 analysts
$2.50
⁦+5%⁩
See it undervalued
Range ⁦$2.00–$3.25⁩
vs
DCF (estimate)
$-8.20
⁦-445%⁩
Sees it clearly overvalued
⁦13.2⁩% discount · ⁦1⁩% growth
Bottom lineThe two methods disagree — estimate range ⁦$-8.20–$2.50⁩.

Estimates — analyst targets and a simplified DCF, not investment advice.

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Analyst Consensus

This section combines price targets, revision history, analyst coverage changes, and an AI summary of what changed on the Street.

Price Target· 3 analysts setting price target
$2.56
⁦+7.6%⁩
Current Price $2.38·Median $2.50
Low
$2.00
High
$3.25
Current price
$2.38
Average target
$2.56
Street summary

Forecast Stability Analysis for Clear Channel Outdoor

CCO stock shows a state of total stability in price targets at 2.5 dollars, with zero Analyst Dispersion as the high, low, and mean estimates coincide. Despite a new analyst joining the coverage of the stock during the last 30 days, this has not changed the price consensus, indicating institutional agreement on the fair value of the stock near its current levels, with a limited upside margin of approximately 3.7%.

As of 2026-06-01
Revisions momentum · 30d
⁦0.0%⁩
Average rating
★ 3.00
Hold
Analyst coverage
3
Buy conviction
0%
Target dispersion
53%
Wide
Analyst ratings over time3 analysts rating
3
Strong BuyBuyHoldSellStrong Sell
Rating trend — last 12 months3.00 → 3.00
Recent analyst moves
  • = Reiterate2026-02-10
    TD Cowen
    —· $2.50
  • = Reiterate2025-11-10
    Morgan Stanley
    —· $2.00
  • = Reiterate2025-10-29
    Citigroup
    Neutral
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Key Financials

Ten ratios that matter, each compared against its sector median and average — so you can see whether a number is rich or cheap relative to peers in the same sector.

StockSector medianSector averagetypical sector range
MetricValuePosition within sectorVerdict
  • P/E (TTM)
    —
    —
  • Forward P/E
    —
    —
  • EV / EBITDA
    15.36x
    2.57x20.60x
    Cheap
  • FCF Yield
    7.0%
    -33.4%21.9%
    Strong
  • Revenue Growth YoY
    9.1%
    -16.2%48.2%
    Near median
  • EPS Growth YoY
    -540.0%
    -464.8%138.2%
    Weak
  • Gross Margin
    52.9%
    11.3%77.5%
    Above average
  • ROIC
    6.9%
    -33.6%17.7%
    Strong
  • Net Debt / EBITDA
    12.86x
    0.60x5.67x
    Financial risk
  • Dividend Yield
    —
    —
  • Payout Ratio
    —
    —
  • Altman Z-Score
    -1.73
    -8.274.77
    Above average
Financial Analysis
|

Stock Analysis

AI-generated
Based on 2026-07-31 data

Company Overview

The data show Clear Channel Outdoor Holdings, Inc. (CCO) as a company with an annual revenue base of approximately $1.6–1.7 billion and a market capitalization of $1.2 billion. The valid operating data provided do not allow for a breakdown of revenue sources or segment mix, so the analysis is based on CCO's verified financial results without attributing operating information from a transcript concerning another company.

In Q2 FY2026, CCO recorded revenue of $438.0 million and a net loss of $5.3 million, equivalent to a loss of $0.01 per share and a net margin of approximately negative 1.2%. Compared with Q1 FY2026, revenue increased from $373.9 million by approximately 17.1%, while the net loss narrowed from $48.6 million to $5.3 million.

Revenue for the latest twelve-month period in FY2026 was approximately $1.7 billion, with net income of $7.5 million and earnings per share of approximately $0.015. This compares with revenue of $1.6 billion, net income of $19.9 million, and earnings per share of $0.04 in FY2025, meaning that revenue growth has not yet translated into a comparable improvement in profitability, while the data do not include a gross profit or gross margin figure.

What's Driving the Stock

  • Q2 FY2026 improved sequentially, with revenue increasing by $64.1 million from Q1, while the net loss narrowed by $43.3 million, representing the most notable positive financial shift in the data provided.
  • Earnings per share improved from negative $0.10 in Q1 FY2026 to negative $0.01 in Q2, indicating that quarterly results moved closer to breakeven without yet reaching profitability.
Earnings callEDGAR filings30-day newsInsider activity

Automated analysis for informational purposes only — not investment advice.

Revenue for the latest twelve-month period in FY2026 increased to $1.7 billion, compared with $1.6 billion in FY2025, but net income declined from $19.9 million to $7.5 million.
  • The analyst consensus carries a Neutral rating and an average target of $2.56, with a wide range between $2.00 and $3.25, reflecting meaningful divergence in assessments of CCO's trajectory.
  • Insider activity during the three months ending with the latest transaction on June 15, 2026 recorded net sales of $503.8 million across 64 sales and no purchases, which is a negative trading signal even though insider sales may be prearranged.
  • Buying & Selling Case

    ▲ Buying Case3 pts

    • +CCO's revenue increased by 17.1% in Q2 FY2026 compared with the previous quarter, alongside a narrowing of the net loss from $48.6 million to $5.3 million.
    • +The latest twelve-month period in FY2026 generated positive net income of $7.5 million, keeping the company profitable on an extended-period basis despite the latest quarterly loss.
    • +The average analyst target is $2.56, approximately 4.9% above the 52-week range high of $2.44, while the highest target reaches $3.25.

    ▼ Selling Case4 pts

    • −CCO did not generate a profit in Q2 FY2026, recording a net loss of $5.3 million and a net margin of approximately negative 1.2% after a larger loss of $48.6 million in the previous quarter.
    • −Profitability quality deteriorated on an extended-period basis; the latest twelve-month net income in FY2026 was $7.5 million versus $19.9 million in FY2025, despite revenue increasing to $1.7 billion from $1.6 billion.
    • −The analyst consensus on CCO is Neutral rather than Buy, while the lowest price target is only $2.00 versus the highest target of $3.25, a divergence that reflects high valuation uncertainty.
    • −Net insider sales over three months totaled $503.8 million, with 64 sales and zero purchases through June 15, 2026; this is a weak signal on its own because those sales may be prearranged, but it provides no insider-activity support for the bullish case.

    Valuation

    The analyst consensus rates CCO as Neutral, with an average target of $2.56 and a range between $2.00 and $3.25; the average is approximately 4.9% above the 52-week range high of $2.44, while the highest target is approximately 33.2% above that high. No usable price-to-earnings ratio is available, limiting traditional comparison, while the decline in latest twelve-month net income to $7.5 million and the wide target range justify some caution when interpreting the valuation.

    HoldAnalyst target: $2.56(+7.6%)

    Figures in the text are as of 2026-09-02; the live price is shown at the top of the page.

    FAQ

    Did CCO become profitable in Q2 FY2026?

    No, CCO recorded a net loss of $5.3 million in Q2 FY2026, or $0.01 per share. However, the result was significantly better than the Q1 loss of $48.6 million and negative earnings per share of $0.10. On the basis of the latest twelve-month period in FY2026, net income remained positive at $7.5 million.

    How much did CCO's results improve between Q1 and Q2 FY2026?

    Revenue increased from $373.9 million in Q1 FY2026 to $438.0 million in Q2, an increase of approximately 17.1%. The net loss narrowed by $43.3 million, from $48.6 million to $5.3 million. The calculated net margin also improved from approximately negative 13.0% to negative 1.2%.

    What does the analyst consensus mean for CCO stock?

    The analyst consensus on CCO is Neutral, not Buy or Sell. The average price target is $2.56, ranging from a low target of $2.00 to a high target of $3.25. The average is slightly above the 52-week range high of $2.44, but the wide target range indicates a notable difference among analyst estimates.

    Is CCO's revenue growth translating into stronger profits?

    Revenue for the latest twelve-month period in FY2026 increased to $1.7 billion, compared with $1.6 billion in FY2025. In contrast, net income declined from $19.9 million to $7.5 million, and earnings per share fell from $0.04 to approximately $0.015. Therefore, the data show revenue growth, but they do not yet show a corresponding improvement in profitability.

    How should insider sales at CCO be interpreted?

    Net insider activity over three months was negative $503.8 million, with 64 sales and no recorded purchases. The latest listed transaction was dated June 15, 2026, and the overall signal was classified as Strong Sell. However, insider sales may be prearranged and therefore are not sufficient on their own to establish deterioration in the company's business without support from operating results.