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COMMCommScope Holding Company, Inc.
$17.82$3.9B
Overview & Verdict
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HomeStocksCOMMQuarterly Balance Sheet

CommScope Holding Company, Inc. (COMM) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

CommScope Holding Company, Inc. (COMM) quarterly balance sheet — complete assets, liabilities & equity history

COMM Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21Q4'20
Total Current Assets2.8B2.52B2.3B3.48B3.42B2.57B2.41B2.86B3.21B3.42B3.51B3.73B3.62B3.63B3.64B3.58B3.44B3.5B3.32B3.35B
Cash & Short-Term Investments705.3M571.1M493.3M564.9M392.1M345.9M357.2M543.8M518.9M418.1M327.3M373M145.5M229.3M314.7M360.3M411.5M446.2M325.9M521.9M
Cash Only705.3M571.1M493.3M564.9M392.1M345.9M357.2M543.8M518.9M418.1M327.3M373M145.5M229.3M314.7M360.3M411.5M446.2M325.9M521.9M
Short-Term Investments00000000000000000000
Accounts Receivable1.04B935.1M844.3M685.9M664.8M999.8M836.9M815.2M1.14B1.35B1.35B1.18B1.68B1.59B1.59B1.53B1.51B1.65B1.64B1.49B
Days Sales Outstanding233.49245.88277.08214.14224.22346.36339.07322.34396.57311.08296.6223.34256.87253.1260.43251.52261.13276.24288.76254.67
Inventory798.4M822.8M765.7M736.8M843.5M1.04B1.04B1.08B1.36B1.45B1.62B1.38B1.54B1.56B1.51B1.44B1.25B1.15B1.09B1.09B
Days Inventory Outstanding287.51354.15400.63346.96437.39535.5564.67606.2671.17484.42521.77385.27316.66325.15317.73310.6285.6258.16257252.54
Other Current Assets257.2M192.3M194.2M1.5B1.52B179.3M169.2M424M186.7M198.5M207.8M798.9M252.1M245.3M0251M268.6M247.1M265.9M256.3M
Total Non-Current Assets5.14B5.22B5.21B5.26B5.39B6.25B6.25B6.51B6.85B7.74B7.83B7.96B9.14B9.31B9.48B9.68B9.81B9.93B10.04B10.22B
Property, Plant & Equipment458.7M337.7M341.5M342.2M365M582.2M609.6M657.8M706.6M565.8M737.5M742.9M763.8M789.7M646.2M818.8M804.1M807.1M668.4M843.8M
Fixed Asset Turnover3.55x4.11x3.26x3.42x2.96x1.81x1.48x1.40x1.49x2.81x2.26x2.59x3.12x2.91x3.45x2.72x2.62x2.71x3.10x2.53x
Goodwill2.92B2.93B2.89B2.87B2.91B3.5B3.5B3.51B3.64B4.08B4.08B4.07B5.15B5.19B5.22B5.23B5.25B5.27B5.26B5.29B
Intangible Assets1.06B1.11B1.16B1.22B1.28B1.45B1.5B1.58B1.67B2.25B2.35B1.92B2.59B2.74B2.88B3.03B3.18B3.34B3.49B3.65B
Long-Term Investments00000000-105.2M-156.4M00000000-189.6M0
Other Non-Current Assets204.3M322.5M301.8M299.6M285.1M166.7M156.1M138.7M835.4M849.5M663.7M734.3M632.5M593.4M724.9M174.9M575.8M514.1M616.3M153.5M
Total Assets7.94B7.74B7.51B8.75B8.81B8.82B8.65B9.37B10.07B11.17B11.34B11.69B12.76B12.94B13.12B13.26B13.25B13.43B13.36B13.58B
Asset Turnover0.21x0.18x0.15x0.13x0.12x0.12x0.10x0.10x0.10x0.14x0.15x0.16x0.19x0.18x0.17x0.17x0.16x0.16x0.16x0.16x
Asset Growth %-9.89%-12.22%-13.25%-6.66%-12.47%-21%-23.67%-19.8%-21.1%-13.71%-13.59%-11.87%-3.73%-3.64%-1.81%-2.34%-3.28%-5.02%-3.69%-5.92%
Total Current Liabilities1.24B1.16B1.05B1.23B2.45B2.47B1.05B1.41B1.55B1.72B1.8B2.11B2.02B2.16B2.22B2.18B2.09B2.1B1.93B1.95B
Accounts Payable592.5M531.2M467.5M370.7M381.7M494.8M454.6M435.9M795.3M782.7M905.4M684.3M999.2M1.18B1.27B1.16B1.17B1.08B1.06B1.01B
Days Payables Outstanding213.36228.64244.61174.57197.93254.33245.86244.74391.17260.73291.22191.6204.94246.16268.22251.08266.88242.43248.99234.43
Short-Term Debt30.7M032.1M33.7M1.31B1.31B32M32M32M32M79.3M76.4M78.5M78.9M32M78.7M83.3M88.1M32M94.4M
Deferred Revenue (Current)112M116M000107M111.1M85.4M102M109.6M110.2M88.9M106.1M112.3M121.1M94.6M108.2M121M118.9M90M
Other Current Liabilities236.2M381.1M517.2M791.6M728.3M381.1M280.4M641M385.3M558.8M524.9M972M571.1M562.7M631.8M543.8M458.5M565.1M450.9M467.3M
Current Ratio2.25x2.18x2.19x2.83x1.40x1.04x2.30x2.03x2.08x1.99x1.95x1.77x1.79x1.68x1.64x1.64x1.65x1.67x1.73x1.72x
Quick Ratio1.61x1.47x1.46x2.23x1.05x0.62x1.30x1.27x1.20x1.14x1.05x1.12x1.03x0.96x0.96x0.98x1.05x1.12x1.16x1.16x
Cash Conversion Cycle307.63371.4433.11386.54463.68627.53657.88683.8676.57534.77527.15417.01368.59332.09309.93311.03279.86291.98296.77272.78
Total Non-Current Liabilities7.76B7.76B7.76B9.75B8.47B8.47B9.76B9.77B9.86B9.93B9.95B10.02B10.19B10.16B10.14B10.18B10.21B10.22B10.18B10.23B
Long-Term Debt7.25B7.25B7.24B9.24B7.97B7.97B9.24B9.25B9.35B9.38B9.41B9.47B9.58B9.52B9.48B9.48B9.48B9.48B9.49B9.49B
Capital Lease Obligations110M105.3M109M111.7M123.8M128.3M135M0146.6M144M129.2M119.4M128.7M136.2M0140.8M109.2M101.6M110.6M119.1M
Deferred Tax Liabilities90.3M93.6M96.8M99.4M101M115.6M121.4M110.7M105.2M156.4M163.8M115.5M180.8M191.1M201M208.2M199.1M202.5M189.6M206.2M
Other Non-Current Liabilities216.6M222.3M226.7M212.9M201.6M182.4M186.1M411.9M188M183.8M186.1M262M238.6M246.2M463.6M288.9M358.3M374M397.8M412.7M
Total Liabilities9.01B8.92B8.81B10.98B10.92B10.95B10.81B11.18B11.41B11.65B11.75B12.13B12.21B12.33B12.36B12.36B12.29B12.32B12.11B12.18B
Total Debt7.4B7.39B7.39B9.39B9.43B9.44B9.45B9.32B9.57B9.6B9.62B9.67B9.78B9.74B9.55B9.7B9.67B9.67B9.69B9.7B
Net Debt6.69B6.82B6.89B8.82B9.04B9.09B9.09B8.77B9.05B9.18B9.29B9.29B9.64B9.51B9.24B9.34B9.26B9.23B9.36B9.18B
Debt / Equity------------17.87x15.87x12.63x10.78x10.09x8.71x7.75x6.95x
Debt / EBITDA19.02x22.80x32.08x42.02x46.78x48.75x110.51x68.95x49.65x34.66x28.59x24.68x29.04x33.17x40.49x36.92x38.37x32.78x35.92x28.93x
Net Debt / EBITDA17.21x21.04x29.94x39.49x44.84x46.97x106.33x64.92x46.96x33.16x27.62x23.73x28.61x32.39x39.16x35.55x36.74x31.27x34.72x27.37x
Interest Coverage2.03x1.59x0.88x0.77x0.69x0.62x-0.16x0.09x0.32x0.82x1.04x1.39x1.09x0.84x0.41x0.53x0.33x0.74x0.51x0.93x
Total Equity-1.07B-1.18B-1.3B-2.23B-2.11B-2.12B-2.15B-1.81B-1.34B-485.1M-415M-445.7M547.4M613.8M756.5M899.5M958.4M1.11B1.25B1.4B
Equity Growth %49.52%44.49%39.45%-23.36%-57.15%-337.95%-418.92%-305.36%-345.49%-179.03%-154.86%-149.55%-42.88%-44.74%-39.46%-35.6%-26.04%-16.33%-21.27%-23.93%
Book Value per Share-3.84-5.19-4.80-10.32-9.78-9.86-10.14-8.52-6.34-2.30-1.99-2.142.592.963.684.404.695.446.206.84
Total Shareholders' Equity-1.07B-1.18B-1.3B-2.23B-2.11B-2.12B-2.15B-1.81B-1.34B-485.1M-415M-445.7M547.4M613.8M756.5M899.5M958.4M1.11B1.25B1.4B
Common Stock2.4M2.4M2.2M2.3M2.3M2.3M2.3M2.3M2.3M2.3M2.2M2.2M2.2M2.2M2.2M2.2M2.2M2.1M2.1M2.1M
Retained Earnings-4.4B-4.51B-4.54B-5.32B-5.3B-5.27B-5.31B-4.95B-4.43B-3.6B-3.5B-3.5B-2.39B-2.42B-2.36B-2.22B-2.13B-2B-1.85B-1.75B
Treasury Stock-314.8M-314.5M-305.1M-303.6M-303.6M-303.5M-301.9M-301.7M-301.5M-301.5M-297.6M-292.6M-291.8M-291.7M-288.4M-277.8M-276.1M-276M-275.7M-251.4M
Accumulated OCI-122.2M-116.5M-209.6M-344.5M-243.2M-280.7M-265.3M-266.7M-317.4M-276.2M-277.5M-296.3M-397.1M-306.3M-215.6M-206.4M-217.5M-181.2M-194.3M-155.9M
Minority Interest00000000000000000000