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Caesars Entertainment Inc (CZR)

Caesars Entertainment Inc (CZR)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Caesars Entertainment, a diversified gaming and hospitality company, revenues through gaming operations that include mobile, online gaming and sports betting. It also utilizes its hotels, restaurants, bars, entertainment, racing, sportsbook offerings, retail shops and other services to attract customers to its properties. Its resorts operate primarily under the Caesars, Harrah's, Horseshoe and Eldorado brand names. Also, it has operations in countries across and outside the U.S. The operations occur in three regionally-focused reportable segments: Las Vegas, Regional, Caesars Digital and Managed & International, in addition to Corporate and Other. It has grown through development of new resorts, expansions and acquisitions. It owns, leases or manages an aggregate of domestic properties across states, comprising a large numbers of table games, slot machines, video lottery terminals and e-tables. Properties, like Harrah's Louisiana Downs, Caesars Southern Indiana and Caesars UK group met held for sale criteria.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024 Sep, 2024
Sales 2,869,000 2,907,000 2,794,000 2,799,000 2,874,000
Sales Growth -1.31% +4.04% -0.18% -2.61% +1.55%
Net Income -55,000 -82,000 -115,000 11,000 -9,000
Net Income Growth +32.93% +28.70% -1,145.45% +222.22% +92.62%
(Values in U.S. Thousands) Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024 Sep, 2024
Total Assets 31,900,000 32,478,000 32,398,000 32,590,000 32,969,000
Total Assets Growth -1.78% +0.25% -0.59% -1.15% -0.35%
Total Liabilities 27,925,000 28,359,000 28,119,000 28,214,000 28,585,000
Total Liabilities Growth -1.53% +0.85% -0.34% -1.30% -0.01%
(Values in U.S. Thousands) Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024 Sep, 2024
Operating Cash Flow 998,000 680,000 218,000 1,075,000 766,000
Operating Cash Flow Growth +46.76% +211.93% -79.72% +40.34% +43.45%
Net Cash Flow -77,000 70,000 -7,000 -127,000 -217,000
Change in Net Cash Flow -210.00% +1,100.00% +94.49% +41.47% -17.93%
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