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Array Digital Infrastructure (AD) Financials

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$49.46 +0.22 (+0.44%)
As of 03:53 PM Eastern
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Annual Income Statements for Array Digital Infrastructure

Annual Income Statements for Array Digital Infrastructure

This table shows Array Digital Infrastructure's income and expenses over time, based on annual financial data. All values are USD millions unless otherwise specified.

Metric 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Period end date 12/31/2015 12/31/2016 12/31/2017 12/31/2018 12/31/2019 12/31/2020 12/31/2021 12/31/2022 12/31/2023 12/31/2024 12/31/2025
Net Income / (Loss) Attributable to Common Shareholders
241 48 12 150 127 229 155 30 54 -39 49
Consolidated Net Income / (Loss)
247 49 15 164 133 233 160 35 58 -32 69
Net Income / (Loss) Continuing Operations
247 49 15 164 133 233 160 35 8.38 -80 172
Total Pre-Tax Income
404 82 -272 215 185 250 180 72 41 -100 141
Total Operating Income
347 48 -304 158 112 173 170 69 -112 -260 -93
Total Gross Profit
2,203 2,149 2,087 2,178 2,238 2,244 2,214 2,198 33 30 83
Total Revenue
4,031 3,990 3,890 3,967 4,022 4,037 4,122 4,169 100 103 163
Operating Revenue
4,031 3,990 3,890 3,967 4,022 4,037 4,122 4,169 100 103 163
Total Cost of Revenue
1,828 1,841 1,803 1,789 1,784 1,793 1,908 1,971 68 73 79
Operating Cost of Revenue
1,828 1,841 1,803 1,789 1,784 1,793 1,908 1,971 68 73 79
Total Operating Expenses
1,856 2,101 2,391 2,020 2,126 2,071 2,044 2,129 145 290 176
Selling, General & Admin Expense
1,494 1,480 1,412 1,388 1,406 1,368 1,345 1,408 101 103 84
Depreciation Expense
607 618 615 640 702 683 678 700 50 47 48
Impairment Charge
0.00 0.00 370 - - 0.00 0.00 3.00 0.00 136 48
Other Special Charges / (Income)
-245 3.00 -5.00 -8.00 19 20 23 19 -6.59 4.27 -4.38
Total Other Income / (Expense), net
57 34 32 57 73 77 10 3.00 153 161 234
Other Income / (Expense), net
1.00 1.00 0.00 -1.00 0.00 0.00 0.00 0.00 -0.01 0.00 234
Income Tax Expense
157 33 -287 51 52 17 20 37 33 -19 -31
Net Income / (Loss) Discontinued Operations
- - - - - - - - 50 49 -103
Net Income / (Loss) Attributable to Noncontrolling Interest
6.00 1.00 3.00 14 6.00 4.00 5.00 5.00 6.92 16 41
Basic Earnings per Share
$2.86 $0.56 $0.14 $1.75 $1.47 $2.66 $1.80 $0.35 $0.64 ($0.46) $0.57
Weighted Average Basic Shares Outstanding
84M 85M 85M 86M 86M 86M 86M 85M 85.19M 85.63M 85.91M
Diluted Earnings per Share
$2.84 $0.56 $0.14 $1.72 $1.44 $2.62 $1.77 $0.35 $0.63 ($0.46) $0.56
Weighted Average Diluted Shares Outstanding
85M 85M 86M 87M 88M 87M 87M 86M 86.73M 85.63M 87.29M
Weighted Average Basic & Diluted Shares Outstanding
84.30M 85.70M 85.70M 85.70M 86.15M 86.09M 85.88M 84.69M 85M 85M 86.40M
Cash Dividends to Common per Share
- - - - - - - - - - $23.00

Quarterly Income Statements for Array Digital Infrastructure

This table shows Array Digital Infrastructure's income and expenses over time, based on quarterly financial data. All values are USD millions unless otherwise specified.

Metric Q2 2023 Q3 2023 Q4 2023 Q1 2024 Q2 2024 Q3 2024 Q4 2024 Q1 2025 Q2 2025 Q3 2025 Q4 2025
Period end date 6/30/2023 9/30/2023 12/31/2023 3/31/2024 6/30/2024 9/30/2024 12/31/2024 3/31/2025 6/30/2025 9/30/2025 12/31/2025
Net Income / (Loss) Attributable to Common Shareholders
5.00 23 13 18 17 -79 5.00 18 31 -38 38
Consolidated Net Income / (Loss)
5.00 23 16 24 18 -78 4.00 20 32 -21 38
Net Income / (Loss) Continuing Operations
5.00 23 16 24 18 -96 4.00 20 32 110 10
Total Pre-Tax Income
24 50 12 52 32 -118 -14 40 36 47 18
Total Operating Income
34 57 22 51 36 -160 -9.00 41 35 -53 -115
Total Gross Profit
539 550 538 552 536 7.48 513 537 524 26 -1,004
Total Revenue
957 963 1,000 950 927 26 971 891 916 47 -1,691
Operating Revenue
957 963 1,000 950 927 26 971 891 916 47 -1,691
Total Cost of Revenue
418 413 462 398 391 18 458 354 392 21 -687
Operating Cost of Revenue
418 413 462 398 391 18 458 354 392 21 -687
Total Operating Expenses
505 493 516 501 500 168 522 496 489 79 -888
Selling, General & Admin Expense
341 333 349 331 322 21 353 332 328 21 -596
Depreciation Expense
161 159 166 165 165 12 168 163 163 12 -290
Other Special Charges / (Income)
3.00 1.00 1.00 5.00 13 -2.00 1.00 1.00 -2.00 -0.62 -2.76
Total Other Income / (Expense), net
-10 -7.00 -10 1.00 -4.00 42 -5.00 -1.00 1.00 101 133
Income Tax Expense
19 27 -4.00 28 14 -22 -18 20 4.00 -63 7.55
Net Income / (Loss) Attributable to Noncontrolling Interest
0.00 0.00 3.00 6.00 1.00 0.98 -1.00 2.00 1.00 19 19
Basic Earnings per Share
$0.05 $0.26 $0.18 $0.21 $0.20 ($0.92) $0.05 $0.21 $0.37 ($0.45) $0.44
Weighted Average Basic Shares Outstanding
85M 85M 85M 85M 86M 85.83M 86M 85M 86M 86.25M 85.91M
Diluted Earnings per Share
$0.05 $0.26 $0.17 $0.20 $0.20 ($0.92) $0.06 $0.21 $0.36 ($0.44) $0.43
Weighted Average Diluted Shares Outstanding
86M 86M 87M 88M 88M 85.83M 86M 88M 88M 86.85M 87.29M
Weighted Average Basic & Diluted Shares Outstanding
85.27M 85M 85M 85M 86M 86M 85M 85M 86M 86.40M 86.40M

Annual Cash Flow Statements for Array Digital Infrastructure

This table details how cash moves in and out of Array Digital Infrastructure's business through operations, investing, and financing, using annual figures. All values are USD millions unless otherwise specified.

Metric 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Period end date 12/31/2015 12/31/2016 12/31/2017 12/31/2018 12/31/2019 12/31/2020 12/31/2021 12/31/2022 12/31/2023 12/31/2024 12/31/2025
Net Change in Cash & Equivalents
502 -129 -234 231 -292 1,000 -1,092 109 -128 -21 3,880
Net Cash From Operating Activities
555 501 469 709 724 1,237 802 832 867 882 201
Net Cash From Continuing Operating Activities
555 501 469 703 724 1,237 802 832 49 38 75
Net Income / (Loss) Continuing Operations
247 49 15 164 133 233 160 35 8.38 -80 172
Consolidated Net Income / (Loss)
247 49 15 -164 133 233 160 35 58 -32 69
Net Income / (Loss) Discontinued Operations
- - - - - - - - 50 49 -103
Depreciation Expense
607 618 615 640 702 683 678 700 50 47 48
Non-Cash Adjustments To Reconcile Net Income
-194 78 484 451 161 132 101 164 -12 149 41
Changes in Operating Assets and Liabilities, net
-107 -244 -645 -218 -272 189 -137 -67 3.18 -77 -234
Net Cash From Discontinued Operating Activities
- - - - - - - - 818 844 126
Net Cash From Investing Activities
-550 -618 -683 -464 -864 -1,163 -2,036 -1,179 -721 -556 2,438
Net Cash From Continuing Investing Activities
-550 -618 -683 -464 -864 -1,163 -2,036 -1,179 -153 -38 -25
Purchase of Property, Plant & Equipment
-581 -443 -465 -512 -650 -989 -724 -602 -41 -18 -27
Acquisitions
-286 -53 - -2.00 -271 -201 -1,322 -585 -129 -19 -4.18
Divestitures
317 21 21 24 41 26 0.00 0.00 1.00 0.00 5.44
Other Investing Activities, net
0.00 -143 -189 -7.00 -2.00 1.00 10 8.00 15 0.00 1.30
Net Cash From Discontinued Investing Activities
- - - - - - - - -568 -519 2,462
Net Cash From Financing Activities
497 -12 -20 -14 -152 926 142 456 -274 -347 -2,684
Net Cash From Continuing Financing Activities
497 -12 -20 -14 -152 926 142 456 -209 -280 -2,664
Repayment of Debt
-14 -12 -17 -26 -118 -146 -1,141 -381 -515 -250 -882
Repurchase of Common Equity
-8.00 -5.00 0.00 0.00 -21 -23 -31 -48 0.00 -54 -21
Payment of Dividends
-6.00 -1.00 -4.00 -6.00 -4.00 -6.00 -3.00 -3.00 -3.31 -4.72 1,959
Issuance of Debt
525 - - 0.00 0.00 1,125 1,342 910 315 40 317
Other Financing Activities, net
-2.00 - - 0.00 -9.00 -24 -25 -22 -5.87 -11 -63
Net Cash From Discontinued Financing Activities
- - - - - - - - -66 -67 -21

Quarterly Cash Flow Statements for Array Digital Infrastructure

This table details how cash moves in and out of Array Digital Infrastructure's business through operations, investing, and financing, using quarterly figures. All values are USD millions unless otherwise specified.

Metric Q2 2023 Q3 2023 Q4 2023 Q1 2024 Q2 2024 Q3 2024 Q4 2024 Q1 2025 Q2 2025 Q3 2025 Q4 2025
Period end date 6/30/2023 9/30/2023 12/31/2023 3/31/2024 6/30/2024 9/30/2024 12/31/2024 3/31/2025 6/30/2025 9/30/2025 12/31/2025
Net Change in Cash & Equivalents
24 -39 -6.00 31 5.00 73 -129 42 200 -40 3,678
Net Cash From Operating Activities
349 329 147 203 313 245 122 160 325 -82 -202
Net Cash From Continuing Operating Activities
349 329 147 203 313 245 122 160 325 -462 53
Net Income / (Loss) Continuing Operations
6.00 23 15 24 18 -79 5.00 20 32 209 -89
Consolidated Net Income / (Loss)
6.00 23 15 24 18 -79 5.00 20 32 110 -93
Net Income / (Loss) Discontinued Operations
- - - - - - - - - - -3.88
Depreciation Expense
160 160 166 165 164 170 166 163 162 -289 12
Non-Cash Adjustments To Reconcile Net Income
53 11 58 27 62 150 78 13 68 -129 89
Changes in Operating Assets and Liabilities, net
130 135 -92 -13 69 4.00 -127 -36 63 -219 -43
Net Cash From Discontinued Operating Activities
- - - - - - - - - - -255
Net Cash From Investing Activities
-153 -119 -257 -144 -140 -131 -141 -74 -76 2,596 -8.60
Net Cash From Continuing Investing Activities
-153 -119 -257 -144 -140 -131 -141 -74 -76 134 -8.60
Purchase of Property, Plant & Equipment
-155 -103 -154 -133 -137 -129 -138 -72 -75 128 -8.60
Net Cash From Financing Activities
-172 -249 104 -28 -168 -41 -110 -44 -49 -2,590 -1.56
Net Cash From Continuing Financing Activities
-172 -249 104 -28 -168 -41 -110 -44 -49 -2,569 -1.56
Repayment of Debt
-153 -240 -57 -57 -144 -4.00 -46 -5.00 -9.00 -864 -4.16
Payment of Dividends
-1.00 - -1.00 -2.00 -1.00 -1.00 -1.00 -2.00 - -2,012 3,973
Issuance of Debt
- - 200 40 - - - 0.00 - 325 -8.00
Other Financing Activities, net
-18 -9.00 -32 -9.00 -23 -10 -35 -16 -40 -7.51 0.06

Annual Balance Sheets for Array Digital Infrastructure

This table presents Array Digital Infrastructure's assets and liabilities at the end of each period, using annual balance sheet data. All values are USD millions unless otherwise specified.

Metric 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Period end date 12/31/2015 12/31/2016 12/31/2017 12/31/2018 12/31/2019 12/31/2020 12/31/2021 12/31/2022 12/31/2023 12/31/2024 12/31/2025
Total Assets
7,060 7,110 6,841 7,274 8,164 9,681 10,341 11,119 10,750 10,449 4,678
Total Current Assets
1,672 1,558 1,483 1,812 1,573 2,623 1,605 1,723 1,400 1,345 145
Cash & Equivalents
715 586 352 580 285 1,271 156 273 150 144 113
Accounts Receivable
672 727 843 976 1,010 998 1,046 1,072 957 13 22
Inventories, net
149 138 138 142 162 146 173 261 199 0.00 0.00
Prepaid Expenses
81 84 79 63 50 51 58 68 57 7.06 3.22
Current Deferred & Refundable Income Taxes
- - - 15 46 125 123 4.00 1.00 0.00 0.00
Other Current Assets
55 23 21 19 20 29 49 45 36 18 6.52
Other Current Nonoperating Assets
- - - - 0.00 - - - - 1,163 0.00
Plant, Property, & Equipment, net
2,649 2,470 2,320 2,202 2,207 2,466 2,606 2,624 2,576 384 389
Total Noncurrent Assets
2,739 3,082 3,038 3,260 4,384 4,592 6,130 6,772 6,774 8,720 4,144
Long-Term Investments
363 413 415 441 447 435 439 452 461 454 413
Intangible Assets
1,834 1,886 2,223 2,186 2,471 2,629 4,088 4,690 4,693 3,282 1,642
Other Noncurrent Operating Assets
172 405 390 633 1,466 1,526 1,585 1,604 1,605 486 2,090
Other Noncurrent Nonoperating Assets
- 8.00 10 - - 2.00 18 26 15 4,499 0.00
Total Liabilities & Shareholders' Equity
7,060 7,110 6,841 7,274 8,164 9,681 10,341 11,119 10,750 10,449 4,678
Total Liabilities
3,489 3,465 3,154 3,196 3,943 5,245 5,767 6,537 6,096 5,841 2,104
Total Current Liabilities
748 718 733 691 750 871 903 1,195 901 884 200
Short-Term Debt
11 11 18 19 8.00 2.00 3.00 13 20 22 4.06
Accounts Payable
275 309 302 304 296 377 346 356 248 36 38
Current Deferred Revenue
251 190 185 157 148 151 191 239 229 1.72 86
Current Deferred & Payable Income Tax Liabilities
28 39 56 30 30 48 33 35 32 27 17
Current Employee Benefit Liabilities
68 73 74 78 76 82 83 84 83 89 4.32
Other Current Liabilities
115 96 98 103 192 211 247 468 289 35 30
Other Current Nonoperating Liabilities
- - - - - - - - - 672 20
Total Noncurrent Liabilities
2,741 2,747 2,421 2,505 3,193 4,374 4,864 5,342 5,195 4,958 1,904
Long-Term Debt
1,629 1,618 1,622 1,605 1,502 2,489 2,728 3,187 3,044 1,202 670
Noncurrent Deferred & Payable Income Tax Liabilities
821 826 461 510 507 633 674 708 755 728 387
Other Noncurrent Operating Liabilities
291 303 338 389 1,184 1,251 1,462 1,447 1,396 717 846
Other Noncurrent Nonoperating Liabilities
- - 0.00 1.00 0.00 1.00 - - - 2,311 0.00
Commitments & Contingencies
- - 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Redeemable Noncontrolling Interest
- - - 11 11 10 11 12 12 16 0.00
Total Equity & Noncontrolling Interests
3,571 3,645 3,687 4,067 4,210 4,426 4,563 4,570 4,642 4,592 2,575
Total Preferred & Common Equity
3,561 3,634 3,677 4,057 4,197 4,411 4,547 4,554 4,626 4,577 2,568
Total Common Equity
3,561 3,634 3,677 4,057 4,197 4,411 4,547 4,554 4,626 4,577 2,568
Common Stock
1,585 1,610 1,640 1,678 1,717 1,739 1,766 1,791 1,814 1,870 1,883
Retained Earnings
2,133 2,160 2,157 2,444 2,550 2,739 2,849 2,861 2,892 2,818 770
Treasury Stock
-157 -136 -120 -65 -70 -67 -68 -98 -80 -112 -86
Noncontrolling Interest
10 11 10 10 13 15 16 16 16 15 6.93

Quarterly Balance Sheets for Array Digital Infrastructure

This table presents Array Digital Infrastructure's assets and liabilities at the end of each period, using quarterly balance sheet data. All values are USD millions unless otherwise specified.

Metric Q3 2022 Q1 2023 Q2 2023 Q3 2023 Q1 2024 Q2 2024 Q3 2024 Q1 2025 Q2 2025 Q3 2025
Period end date 9/30/2022 3/31/2023 6/30/2023 9/30/2023 3/31/2024 6/30/2024 9/30/2024 3/31/2025 6/30/2025 9/30/2025
Total Assets
11,056 10,997 10,889 10,749 10,704 10,639 10,516 10,365 10,377 4,918
Total Current Assets
1,675 1,562 1,500 1,393 1,395 1,374 1,427 1,373 1,509 352
Cash & Equivalents
254 154 186 153 185 195 272 182 386 326
Accounts Receivable
1,075 1,009 984 959 932 952 918 925 922 20
Inventories, net
243 262 210 175 175 143 161 178 126 0.00
Prepaid Expenses
61 76 69 64 71 58 55 63 53 2.98
Current Deferred & Refundable Income Taxes
1.00 4.00 4.00 2.00 0.00 0.00 0.00 - 1.00 0.00
Other Current Assets
41 57 47 40 32 26 21 25 21 3.95
Other Current Nonoperating Assets
- - - - 0.00 0.00 0.00 1.00 0.00 0.00
Plant, Property, & Equipment, net
2,631 2,658 2,640 2,593 2,540 2,540 2,504 2,394 2,313 387
Plant, Property & Equipment, gross
9,410 9,440 9,491 9,571 8,321 8,294 8,402 8,417 8,477 1,071
Accumulated Depreciation
6,779 6,782 6,851 6,978 5,781 5,754 5,898 6,023 6,164 684
Total Noncurrent Assets
6,750 6,777 6,749 6,763 6,769 6,725 6,585 6,597 6,555 4,179
Long-Term Investments
461 477 457 477 482 461 478 479 444 452
Intangible Assets
4,680 4,692 4,694 4,690 4,711 4,715 4,576 4,581 4,583 1,649
Other Noncurrent Operating Assets
1,580 1,590 1,582 1,580 1,576 1,549 1,531 1,537 1,528 2,078
Other Noncurrent Nonoperating Assets
29 18 16 16 - - - - - 0.00
Total Liabilities & Shareholders' Equity
11,056 10,997 10,889 10,749 10,704 10,639 10,516 10,365 10,377 4,918
Total Liabilities
6,451 6,402 6,288 6,118 6,015 5,933 5,902 5,750 5,747 2,381
Total Current Liabilities
1,099 953 1,008 1,031 837 886 909 807 808 539
Short-Term Debt
11 15 54 18 20 20 20 26 28 2.03
Accounts Payable
340 206 240 406 229 268 272 207 218 69
Current Deferred Revenue
218 229 231 222 235 236 225 231 225 122
Current Deferred & Payable Income Tax Liabilities
36 33 32 35 49 41 63 57 37 290
Current Employee Benefit Liabilities
62 44 54 61 32 57 66 33 54 4.62
Other Current Liabilities
432 426 388 283 272 264 263 253 246 31
Other Current Nonoperating Liabilities
- - - - - - - - - 20
Total Noncurrent Liabilities
5,352 5,449 5,280 5,087 5,178 5,047 4,993 4,943 4,939 1,842
Long-Term Debt
3,115 3,297 3,105 2,903 3,029 2,887 2,882 2,829 2,819 672
Noncurrent Deferred & Payable Income Tax Liabilities
705 715 732 749 758 765 719 720 719 321
Other Noncurrent Operating Liabilities
1,532 1,437 1,443 1,435 1,391 1,395 1,392 1,394 1,401 850
Other Noncurrent Nonoperating Liabilities
- - - - - - - - - 0.00
Commitments & Contingencies
0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Redeemable Noncontrolling Interest
- 12 12 12 16 16 16 16 16 0.00
Total Equity & Noncontrolling Interests
4,605 4,583 4,589 4,619 4,673 4,690 4,598 4,599 4,614 2,537
Total Preferred & Common Equity
4,589 4,568 4,573 4,603 4,658 4,675 4,582 4,585 4,600 2,530
Total Common Equity
4,589 4,568 4,573 4,603 4,658 4,677 4,582 4,585 4,600 2,701
Common Stock
1,784 1,792 1,798 1,805 1,828 1,840 1,852 1,888 1,900 1,883
Retained Earnings
2,890 2,872 2,855 2,878 2,910 2,893 2,813 2,822 2,802 732
Treasury Stock
-85 -96 -80 -80 -80 -56 -83 -125 -102 86
Noncontrolling Interest
16 15 16 16 15 15 16 14 14 7.33

Annual Metrics And Ratios for Array Digital Infrastructure

This table displays calculated financial ratios and metrics derived from Array Digital Infrastructure's official financial filings.

Metric 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Period end date 12/31/2015 12/31/2016 12/31/2017 12/31/2018 12/31/2019 12/31/2020 12/31/2021 12/31/2022 12/31/2023 12/31/2024 12/31/2025
DEI Shares Outstanding
- - - - - - - - - - 86,400,000.00
DEI Adjusted Shares Outstanding
- - - - - - - - - - 86,400,000.00
DEI Earnings Per Adjusted Shares Outstanding
- - - - - - - - - - 0.56
Growth Metrics
- - - - - - - - - - -
Revenue Growth
3.54% -1.02% -2.51% 1.98% 1.39% 0.37% 2.11% 1.14% -6.31% -3.48% 58.32%
EBITDA Growth
106.70% -30.30% -53.37% 156.27% 2.13% 5.16% -0.93% -9.32% 3.38% -17.86% 188.86%
EBIT Growth
341.67% -85.92% -720.41% 151.64% -28.66% 54.46% -1.73% -59.41% 101.45% -108.63% 154.21%
NOPAT Growth
311.94% -86.48% -841.90% 156.64% -33.19% 100.25% -6.28% -77.80% 116.54% -111.57% 38.02%
Net Income Growth
625.53% -80.16% -69.39% 993.33% -18.90% 75.19% -31.33% -78.13% 65.71% -155.17% 319.12%
EPS Growth
656.86% -80.28% -75.00% 1,128.57% -16.28% 81.94% -32.44% -80.23% 80.00% -173.02% 221.74%
Operating Cash Flow Growth
222.67% -9.73% -6.39% 51.17% 2.12% 70.86% -35.17% 3.74% 4.09% 1.96% -77.24%
Free Cash Flow Firm Growth
74.41% -27.01% -323.29% 90.02% -469.89% 77.61% -2,232.27% 76.93% 103.81% 1,745.13% -106.94%
Invested Capital Growth
7.69% 3.24% 5.46% 3.67% 7.16% 4.36% 28.27% 5.07% 0.87% -3.14% 7.42%
Revenue Q/Q Growth
0.30% -0.37% 0.57% 0.56% 0.05% 0.55% -0.12% -0.48% -1.24% -0.76% -95.62%
EBITDA Q/Q Growth
8.88% -3.89% 3.32% 1.53% 1.37% -0.47% 0.12% -2.53% 4.61% -4.53% -74.74%
EBIT Q/Q Growth
21.32% -32.88% 3.49% 3.29% -4.27% 4.22% 0.00% -31.68% 54.44% -163.16% 68.29%
NOPAT Q/Q Growth
22.09% -33.74% 3.49% -20.71% -3.96% 0.30% 11.91% -53.51% 233.56% 91.16% -199.01%
Net Income Q/Q Growth
8.42% -3.92% 105.70% -60.67% -0.75% -4.90% 15.11% -61.11% 286.67% -60.00% 93.23%
EPS Q/Q Growth
8.81% -5.08% 104.49% -63.33% -2.04% -5.07% 16.45% -64.29% 350.00% -31.43% 194.74%
Operating Cash Flow Q/Q Growth
40.02% 20.72% -2.29% 5.04% -9.05% 25.33% -15.93% 5.72% -3.67% -2.75% -61.70%
Free Cash Flow Firm Q/Q Growth
71.24% 15.88% -266.91% 77.54% -3.39% 71.93% -10.23% 34.85% -87.98% 320.78% -106.83%
Invested Capital Q/Q Growth
3.36% 2.40% 10.62% 5.59% 5.31% 2.09% 3.82% 0.63% 2.60% 1.52% 11.80%
Profitability Metrics
- - - - - - - - - - -
Gross Margin
54.65% 53.86% 53.65% 54.90% 55.64% 55.59% 53.71% 52.72% 55.76% 56.76% 51.22%
EBITDA Margin
23.74% 16.72% 7.99% 20.09% 20.24% 21.20% 20.57% 18.45% 20.35% 17.32% 116.21%
Operating Margin
8.61% 1.20% -7.81% 3.98% 2.78% 4.29% 4.12% 1.66% 3.56% -0.32% -56.78%
EBIT Margin
8.63% 1.23% -7.81% 3.96% 2.78% 4.29% 4.12% 1.66% 3.56% -0.32% 86.60%
Profit (Net Income) Margin
6.13% 1.23% 0.39% 4.13% 3.31% 5.77% 3.88% 0.84% 1.48% -0.85% 42.46%
Tax Burden Percent
61.14% 59.76% -5.51% 76.28% 71.89% 93.20% 88.89% 48.61% 52.25% 145.45% 49.03%
Interest Burden Percent
116.09% 167.35% 89.47% 136.94% 165.18% 144.51% 105.88% 104.35% 79.86% 183.33% 100.00%
Effective Tax Rate
38.86% 40.24% 0.00% 23.72% 28.11% 6.80% 11.11% 51.39% 47.75% 0.00% -22.07%
Return on Invested Capital (ROIC)
5.32% 0.68% -4.85% 2.63% 1.67% 3.16% 2.54% 0.49% 1.03% -0.12% -4.27%
ROIC Less NNEP Spread (ROIC-NNEP)
11.73% 4.11% 26.89% 8.84% 9.36% 12.36% 3.15% 0.55% 0.43% -1.12% -23.59%
Return on Net Nonoperating Assets (RNNOA)
1.85% 0.68% 5.26% 1.59% 1.54% 2.23% 1.01% 0.28% 0.23% -0.57% 6.19%
Return on Equity (ROE)
7.18% 1.36% 0.41% 4.22% 3.21% 5.38% 3.55% 0.76% 1.26% -0.69% 1.93%
Cash Return on Invested Capital (CROIC)
-2.08% -2.51% -10.17% -0.97% -5.25% -1.11% -22.23% -4.45% 0.16% 3.07% -11.42%
Operating Return on Assets (OROA)
5.15% 0.69% -4.36% 2.22% 1.45% 1.94% 1.70% 0.64% 1.27% -0.11% 1.87%
Return on Assets (ROA)
3.65% 0.69% 0.22% 2.32% 1.72% 2.61% 1.60% 0.33% 0.53% -0.30% 0.91%
Return on Common Equity (ROCE)
7.16% 1.35% 0.41% 4.21% 3.19% 5.35% 3.53% 0.76% 1.25% -0.69% 1.92%
Return on Equity Simple (ROE_SIMPLE)
6.94% 1.35% 0.41% 4.04% 3.17% 5.28% 3.52% 0.77% 1.25% -0.70% 0.00%
Net Operating Profit after Tax (NOPAT)
212 29 -213 121 81 161 151 34 73 -8.40 -113
NOPAT Margin
5.26% 0.72% -5.47% 3.04% 2.00% 3.99% 3.67% 0.80% 1.86% -0.22% -69.31%
Net Nonoperating Expense Percent (NNEP)
-6.41% -3.43% -31.75% -6.21% -7.69% -9.21% -0.61% -0.06% 0.60% 1.00% 19.32%
Return On Investment Capital (ROIC_SIMPLE)
- - - - - - - 0.43% 0.94% -0.11% -3.48%
Cost of Revenue to Revenue
45.35% 46.14% 46.35% 45.10% 44.36% 44.41% 46.29% 47.28% 44.24% 43.24% 48.78%
SG&A Expenses to Revenue
37.06% 37.09% 36.30% 34.99% 34.96% 33.89% 32.63% 33.77% 35.02% 35.28% 51.82%
R&D to Revenue
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Expenses to Revenue
46.04% 52.66% 61.47% 50.92% 52.86% 51.30% 49.59% 51.07% 52.20% 57.08% 108.01%
Earnings before Interest and Taxes (EBIT)
348 49 -304 157 112 173 170 69 139 -12 141
Earnings before Interest, Taxes, Depreciation and Amortization (EBITDA)
957 667 311 797 814 856 848 769 795 653 189
Valuation Ratios
- - - - - - - - - - -
Price to Book Value (P/BV)
0.97 1.02 0.87 1.10 0.74 0.60 0.60 0.39 0.76 1.18 1.50
Price to Tangible Book Value (P/TBV)
2.53 2.69 2.20 2.38 1.81 1.48 5.92 0.00 0.00 0.00 4.15
Price to Revenue (P/Rev)
0.85 0.93 0.82 1.12 0.78 0.65 0.66 0.43 0.90 1.43 23.59
Price to Earnings (P/E)
14.27 77.26 266.93 29.74 24.58 11.53 17.53 59.23 65.39 0.00 78.86
Dividend Yield
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 51.68%
Earnings Yield
7.01% 1.29% 0.37% 3.36% 4.07% 8.67% 5.70% 1.69% 1.53% 0.00% 1.27%
Enterprise Value to Invested Capital (EV/IC)
0.97 1.02 0.90 1.09 0.78 0.66 0.73 0.61 0.85 1.12 1.46
Enterprise Value to Revenue (EV/Rev)
1.00 1.09 1.04 1.28 0.98 0.85 1.18 1.03 1.54 2.04 24.55
Enterprise Value to EBITDA (EV/EBITDA)
4.19 6.52 12.98 6.36 4.82 4.03 5.75 5.57 7.56 11.77 21.12
Enterprise Value to EBIT (EV/EBIT)
11.53 88.76 0.00 32.28 35.03 19.93 28.71 62.03 43.25 0.00 28.35
Enterprise Value to NOPAT (EV/NOPAT)
18.91 151.63 0.00 42.06 48.72 21.38 32.29 127.60 82.77 0.00 0.00
Enterprise Value to Operating Cash Flow (EV/OCF)
7.23 8.68 8.61 7.15 5.42 2.79 6.08 5.14 6.94 8.70 19.92
Enterprise Value to Free Cash Flow (EV/FCFF)
0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 516.90 35.82 0.00
Leverage & Solvency
- - - - - - - - - - -
Debt to Equity
0.46 0.45 0.44 0.40 0.36 0.56 0.60 0.70 0.66 0.62 0.26
Long-Term Debt to Equity
0.46 0.44 0.44 0.39 0.36 0.56 0.60 0.70 0.65 0.62 0.26
Financial Leverage
0.16 0.16 0.20 0.18 0.16 0.18 0.32 0.50 0.53 0.51 -0.26
Leverage Ratio
1.96 1.96 1.90 1.82 1.86 2.06 2.22 2.34 2.37 2.29 2.11
Compound Leverage Factor
2.28 3.29 1.70 2.49 3.07 2.98 2.35 2.45 1.89 4.20 2.11
Debt to Total Capital
31.47% 30.89% 30.79% 28.48% 26.35% 35.96% 37.39% 41.12% 39.70% 38.29% 20.76%
Short-Term Debt to Total Capital
0.21% 0.21% 0.34% 0.33% 0.14% 0.03% 0.04% 0.17% 0.26% 0.29% 0.13%
Long-Term Debt to Total Capital
31.26% 30.68% 30.45% 28.15% 26.21% 35.93% 37.34% 40.95% 39.44% 37.99% 20.63%
Preferred Equity to Total Capital
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Noncontrolling Interests to Total Capital
0.19% 0.21% 0.19% 0.37% 0.42% 0.36% 0.37% 0.36% 0.36% 0.42% 0.21%
Common Equity to Total Capital
68.34% 68.90% 69.03% 71.15% 73.23% 63.68% 62.25% 58.52% 59.94% 61.30% 79.03%
Debt to EBITDA
1.71 2.44 5.27 2.04 1.86 2.91 3.22 4.16 3.85 4.38 3.56
Net Debt to EBITDA
0.59 0.94 2.65 0.74 0.96 0.91 2.52 3.22 3.09 3.46 0.78
Long-Term Debt to EBITDA
1.70 2.43 5.22 2.01 1.85 2.91 3.22 4.14 3.83 4.34 3.54
Debt to NOPAT
7.73 56.79 -7.71 13.47 18.75 15.45 18.07 95.40 42.19 -340.36 -5.97
Net Debt to NOPAT
2.65 21.96 -3.87 4.86 9.66 4.85 14.14 73.79 33.77 -269.17 -1.31
Long-Term Debt to NOPAT
7.68 56.41 -7.62 13.32 18.65 15.44 18.05 95.02 41.91 -337.74 -5.93
Altman Z-Score
1.91 1.79 1.60 2.11 1.57 1.39 1.20 0.98 1.19 1.34 1.45
Noncontrolling Interest Sharing Ratio
0.30% 0.29% 0.29% 0.40% 0.54% 0.57% 0.58% 0.60% 0.61% 0.64% 0.53%
Liquidity Ratios
- - - - - - - - - - -
Current Ratio
2.24 2.17 2.02 2.62 2.10 3.01 1.78 1.44 1.55 1.52 0.72
Quick Ratio
1.85 1.83 1.70 2.28 1.73 2.61 1.33 1.13 1.23 1.24 0.68
Cash Flow Metrics
- - - - - - - - - - -
Free Cash Flow to Firm (FCFF)
-83 -105 -446 -44 -253 -57 -1,324 -305 12 215 -302
Operating Cash Flow to CapEx
95.53% 113.09% 100.86% 138.48% 111.38% 125.08% 110.77% 138.21% 142.43% 164.43% 738.37%
Free Cash Flow to Firm to Interest Expense
-0.96 -0.93 -3.95 -0.38 -2.30 -0.51 -7.57 -1.87 0.06 1.17 0.00
Operating Cash Flow to Interest Expense
6.45 4.43 4.15 6.11 6.58 11.04 4.58 5.10 4.42 4.83 0.00
Operating Cash Flow Less CapEx to Interest Expense
-0.30 0.51 0.04 1.70 0.67 2.21 0.45 1.41 1.32 1.89 0.00
Efficiency Ratios
- - - - - - - - - - -
Asset Turnover
0.60 0.56 0.56 0.56 0.52 0.45 0.41 0.39 0.36 0.36 0.02
Accounts Receivable Turnover
6.56 5.70 4.96 4.36 4.05 4.02 4.03 3.94 3.85 3.94 9.48
Inventory Turnover
8.79 12.83 13.07 12.78 11.74 11.64 11.96 9.08 7.51 8.62 0.00
Fixed Asset Turnover
1.50 1.56 1.62 1.75 1.82 1.73 1.63 1.59 1.50 1.48 0.42
Accounts Payable Turnover
6.28 6.30 5.90 5.90 5.95 5.33 5.28 5.62 5.72 6.65 2.12
Days Sales Outstanding (DSO)
55.64 63.99 73.66 83.68 90.12 90.78 90.50 92.72 94.80 92.56 38.51
Days Inventory Outstanding (DIO)
41.54 28.45 27.94 28.56 31.10 31.35 30.51 40.19 48.58 42.32 0.00
Days Payable Outstanding (DPO)
58.09 57.89 61.85 61.82 61.38 68.50 69.15 65.00 63.79 54.86 171.86
Cash Conversion Cycle (CCC)
39.09 34.55 39.75 50.43 59.84 53.62 51.85 67.90 79.59 80.02 -133.35
Capital & Investment Metrics
- - - - - - - - - - -
Invested Capital
4,133 4,267 4,500 4,665 4,999 5,217 6,692 7,031 7,092 6,869 2,743
Invested Capital Turnover
1.01 0.95 0.89 0.87 0.83 0.79 0.69 0.61 0.55 0.54 0.06
Increase / (Decrease) in Invested Capital
295 134 233 165 334 218 1,475 339 61 -223 189
Enterprise Value (EV)
4,012 4,349 4,036 5,069 3,923 3,447 4,880 4,280 6,012 7,686 4,000
Market Capitalization
3,440 3,708 3,203 4,462 3,121 2,640 2,717 1,777 3,531 5,394 3,845
Book Value per Share
$42.25 $42.84 $43.20 $47.26 $48.72 $51.27 $52.75 $53.44 $54.42 $53.22 $29.72
Tangible Book Value per Share
$16.10 $16.25 $17.08 $21.79 $20.04 $20.71 $5.32 ($1.60) ($0.79) ($0.02) $10.71
Total Capital
5,211 5,274 5,327 5,702 5,731 6,927 7,305 7,782 7,718 7,467 3,249
Total Debt
1,640 1,629 1,640 1,624 1,510 2,491 2,731 3,200 3,064 2,859 674
Total Long-Term Debt
1,629 1,618 1,622 1,605 1,502 2,489 2,728 3,187 3,044 2,837 670
Net Debt
562 630 823 586 778 782 2,136 2,475 2,453 2,261 148
Capital Expenditures (CapEx)
581 443 465 512 650 989 724 602 608 537 27
Debt-free, Cash-free Net Working Capital (DFCFNWC)
220 265 366 543 546 480 549 268 369 339 -165
Debt-free Net Working Capital (DFNWC)
935 851 768 1,140 831 1,754 705 541 519 483 -51
Net Working Capital (NWC)
924 840 750 1,121 823 1,752 702 528 499 461 -55
Net Nonoperating Expense (NNE)
-35 -20 -228 -43 -52 -72 -8.89 -1.46 15 24 -182
Net Nonoperating Obligations (NNO)
562 622 813 587 778 781 2,118 2,449 2,438 2,261 169
Total Depreciation and Amortization (D&A)
609 618 615 640 702 683 678 700 656 665 48
Debt-free, Cash-free Net Working Capital to Revenue
5.46% 6.64% 9.41% 13.69% 13.58% 11.89% 13.32% 6.43% 9.45% 8.99% -100.97%
Debt-free Net Working Capital to Revenue
23.20% 21.33% 19.74% 28.74% 20.66% 43.45% 17.10% 12.98% 13.29% 12.81% -31.38%
Net Working Capital to Revenue
22.92% 21.05% 19.28% 28.26% 20.46% 43.40% 17.03% 12.66% 12.78% 12.23% -33.87%
Earnings Adjustments
- - - - - - - - - - -
Adjusted Basic Earnings per Share
$2.86 $0.56 $0.14 $1.75 $1.47 $2.66 $1.80 $0.35 $0.64 ($0.46) $0.57
Adjusted Weighted Average Basic Shares Outstanding
84.25M 85M 85M 86M 86M 86M 86M 85M 85M 86M 85.91M
Adjusted Diluted Earnings per Share
$2.84 $0.56 $0.14 $1.72 $1.44 $2.62 $1.77 $0.35 $0.63 ($0.46) $0.56
Adjusted Weighted Average Diluted Shares Outstanding
84.89M 85M 86M 87M 88M 87M 87M 86M 87M 86M 87.29M
Adjusted Basic & Diluted Earnings per Share
$0.00 $0.00 $0.00 $1.75 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
Adjusted Weighted Average Basic & Diluted Shares Outstanding
84.32M 84.85M 85.13M 86.31M 86.15M 86.09M 85.88M 84.69M 85M 85M 86.40M
Normalized Net Operating Profit after Tax (NOPAT)
62 30 43 114 94 180 172 64 80 102 -34
Normalized NOPAT Margin
1.55% 0.76% 1.10% 2.88% 2.34% 4.46% 4.16% 1.53% 2.06% 2.69% -21.15%
Pre Tax Income Margin
10.02% 2.06% -6.99% 5.42% 4.60% 6.19% 4.37% 1.73% 2.84% -0.58% 86.60%
Debt Service Ratios
- - - - - - - - - - -
EBIT to Interest Expense
4.05 0.43 -2.69 1.35 1.02 1.54 0.97 0.42 0.71 -0.07 0.00
NOPAT to Interest Expense
2.47 0.25 -1.88 1.04 0.73 1.44 0.86 0.21 0.37 -0.05 0.00
EBIT Less CapEx to Interest Expense
-2.71 -3.49 -6.81 -3.06 -4.89 -7.29 -3.17 -3.27 -2.39 -3.00 0.00
NOPAT Less CapEx to Interest Expense
-4.29 -3.67 -6.00 -3.37 -5.18 -7.39 -3.27 -3.49 -2.73 -2.98 0.00
Payout Ratios
- - - - - - - - - - -
Dividend Payout Ratio
2.43% 2.04% 26.67% 3.66% 3.01% 2.58% 1.88% 8.57% 5.17% -15.63% -2,831.37%
Augmented Payout Ratio
5.67% 12.24% 26.67% 3.66% 18.80% 12.45% 21.25% 145.71% 15.52% -184.38% -2,800.50%

Quarterly Metrics And Ratios for Array Digital Infrastructure

This table displays calculated financial ratios and metrics derived from Array Digital Infrastructure's official financial filings.

Metric Q2 2023 Q3 2023 Q4 2023 Q1 2024 Q2 2024 Q3 2024 Q4 2024 Q1 2025 Q2 2025 Q3 2025 Q4 2025
Period end date 6/30/2023 9/30/2023 12/31/2023 3/31/2024 6/30/2024 9/30/2024 12/31/2024 3/31/2025 6/30/2025 9/30/2025 12/31/2025
DEI Shares Outstanding
- - - - - - - - 86,000,000.00 86,400,000.00 86,400,000.00
DEI Adjusted Shares Outstanding
- - - - - - - - 86,000,000.00 86,400,000.00 86,400,000.00
DEI Earnings Per Adjusted Shares Outstanding
- - - - - - - - 0.36 -0.45 0.44
Growth Metrics
- - - - - - - - - - -
Revenue Growth
-6.82% -11.08% -4.67% -3.65% -3.13% -4.26% -2.90% -6.21% -1.19% 83.06% 6.04%
EBITDA Growth
-8.06% 33.13% 22.88% 10.20% 3.09% -63.13% -16.49% -5.56% -1.50% 31.34% 41.25%
EBIT Growth
-15.00% 480.00% 181.48% 96.15% 5.88% -257.89% -140.91% -19.61% -2.78% 85.86% 38.44%
NOPAT Growth
-67.80% 349.71% 255.20% 61.67% 185.88% -340.27% -121.48% -12.91% 53.64% -10.69% 49.17%
Net Income Growth
-77.27% 291.67% 159.26% 71.43% 260.00% -439.13% -75.00% -16.67% 77.78% 73.75% 686.28%
EPS Growth
-80.00% 273.33% 153.13% 33.33% 300.00% -453.85% -64.71% 5.00% 80.00% 52.17% 616.67%
Operating Cash Flow Growth
30.71% 344.59% -18.33% 395.12% -10.32% -25.53% -17.01% -21.18% 3.83% -133.45% -267.02%
Free Cash Flow Firm Growth
73.84% 118.35% 91.15% 219.33% 248.18% -18.00% 784.32% 34.65% 96.89% 12,261.23% -105.81%
Invested Capital Growth
1.78% -1.07% 0.87% -2.58% -2.15% -2.11% -3.14% -3.72% -4.46% -63.74% 7.42%
Revenue Q/Q Growth
-2.94% 0.63% 3.84% -5.00% -2.42% -0.54% 5.31% -8.24% 2.81% -94.86% -3,689.12%
EBITDA Q/Q Growth
-1.02% 11.86% -13.36% 14.89% -7.41% -60.00% 96.25% 29.94% -3.43% -258.27% 67.02%
EBIT Q/Q Growth
30.77% 67.65% -61.40% 131.82% -29.41% -350.00% 90.00% 555.56% -14.63% -164.70% -408.78%
NOPAT Q/Q Growth
-51.35% 270.16% 11.87% -19.76% -13.97% -411.11% 90.00% 425.40% 51.76% -498.91% 46.33%
Net Income Q/Q Growth
-64.29% 360.00% -30.43% 50.00% -25.00% -533.33% 105.13% 400.00% 60.00% -164.29% 283.57%
EPS Q/Q Growth
-66.67% 420.00% -34.62% 17.65% 0.00% -560.00% 106.52% 250.00% 71.43% -222.22% 197.73%
Operating Cash Flow Q/Q Growth
751.22% -5.73% -55.32% 38.10% 54.19% -21.73% -50.20% 31.15% 103.13% -125.26% -146.11%
Free Cash Flow Firm Q/Q Growth
33.74% 186.57% -131.29% 764.86% -17.71% -52.09% 161.08% 30.83% 20.32% 1,127.86% -106.11%
Invested Capital Q/Q Growth
-2.04% -2.78% 2.60% -0.30% -1.61% -2.75% 1.52% -0.89% -2.36% -63.09% 11.80%
Profitability Metrics
- - - - - - - - - - -
Gross Margin
56.32% 57.11% 53.80% 58.11% 57.82% 58.46% 52.83% 60.27% 57.21% 55.48% 0.00%
EBITDA Margin
20.27% 22.53% 18.80% 22.74% 21.58% 8.68% 16.17% 22.90% 21.51% -661.70% 0.00%
Operating Margin
3.55% 5.92% 2.20% 5.37% 3.88% -9.76% -0.93% 4.60% 3.82% -113.15% 0.00%
EBIT Margin
3.55% 5.92% 2.20% 5.37% 3.88% -9.76% -0.93% 4.60% 3.82% -48.06% 0.00%
Profit (Net Income) Margin
0.52% 2.39% 1.60% 2.53% 1.94% -8.46% 0.41% 2.24% 3.49% -43.66% 0.00%
Tax Burden Percent
20.83% 46.00% 133.33% 46.15% 56.25% 84.78% -28.57% 50.00% 88.89% -43.57% 210.98%
Interest Burden Percent
70.59% 87.72% 54.55% 101.96% 88.89% 102.22% 155.56% 97.56% 102.86% -208.51% -15.54%
Effective Tax Rate
79.17% 54.00% -33.33% 53.85% 43.75% 0.00% 0.00% 50.00% 11.11% -132.79% 42.20%
Return on Invested Capital (ROIC)
0.43% 1.55% 1.62% 1.34% 1.19% -3.80% -0.35% 1.23% 1.85% -212.63% 0.00%
ROIC Less NNEP Spread (ROIC-NNEP)
0.34% 1.41% 1.08% 1.36% 1.10% -4.47% 0.09% 1.21% 1.89% -202.62% 0.00%
Return on Net Nonoperating Assets (RNNOA)
0.18% 0.71% 0.57% 0.74% 0.56% -2.14% 0.04% 0.59% 0.86% -58.60% 0.00%
Return on Equity (ROE)
0.61% 2.26% 2.19% 2.08% 1.75% -5.94% -0.31% 1.82% 2.71% -271.23% 0.00%
Cash Return on Invested Capital (CROIC)
-1.58% 1.39% 0.16% 3.74% 3.48% 0.75% 3.07% 3.57% 4.32% 96.03% -11.42%
Operating Return on Assets (OROA)
1.32% 2.15% 0.79% 1.91% 1.39% -3.49% -0.33% 1.62% 1.35% -23.18% 0.00%
Return on Assets (ROA)
0.19% 0.87% 0.57% 0.90% 0.69% -3.02% 0.15% 0.79% 1.23% -21.05% 0.00%
Return on Common Equity (ROCE)
0.60% 2.25% 2.18% 2.06% 1.74% -5.90% -0.30% 1.81% 2.69% -276.24% 0.00%
Return on Equity Simple (ROE_SIMPLE)
-0.44% 0.33% 0.00% 1.46% 1.73% -0.44% 0.00% -0.79% 0.00% 0.00% 0.00%
Net Operating Profit after Tax (NOPAT)
7.08 26 29 24 20 -63 -6.30 21 31 -124 -67
NOPAT Margin
0.74% 2.72% 2.93% 2.48% 2.18% -6.83% -0.65% 2.30% 3.40% -263.39% 0.00%
Net Nonoperating Expense Percent (NNEP)
0.09% 0.14% 0.55% -0.02% 0.09% 0.68% -0.44% 0.02% -0.04% -10.01% 11.07%
Return On Investment Capital (ROIC_SIMPLE)
- - 0.38% - - - -0.08% 0.28% 0.42% -3.86% -2.05%
Cost of Revenue to Revenue
43.68% 42.89% 46.20% 41.89% 42.18% 41.54% 47.17% 39.73% 42.79% 44.52% 0.00%
SG&A Expenses to Revenue
35.63% 34.58% 34.90% 34.84% 34.74% 35.14% 36.35% 37.26% 35.81% 43.56% 0.00%
R&D to Revenue
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Expenses to Revenue
52.77% 51.19% 51.60% 52.74% 53.94% 68.22% 53.76% 55.67% 53.38% 168.63% 0.00%
Earnings before Interest and Taxes (EBIT)
34 57 22 51 36 -90 -9.00 41 35 -23 -115
Earnings before Interest, Taxes, Depreciation and Amortization (EBITDA)
194 217 188 216 200 80 157 204 197 -312 -103
Valuation Ratios
- - - - - - - - - - -
Price to Book Value (P/BV)
0.33 0.80 0.76 0.67 1.01 1.03 1.18 1.28 1.18 1.59 1.50
Price to Tangible Book Value (P/TBV)
0.00 0.00 0.00 0.00 0.00 783.32 0.00 1,469.44 319.85 4.09 4.15
Price to Revenue (P/Rev)
0.37 0.93 0.90 0.80 1.24 1.24 1.43 1.58 1.47 1.16 23.59
Price to Earnings (P/E)
0.00 281.86 65.39 52.58 66.83 0.00 0.00 0.00 0.00 274.17 78.86
Dividend Yield
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 45.99% 51.68%
Earnings Yield
0.00% 0.35% 1.53% 1.90% 1.50% 0.00% 0.00% 0.00% 0.00% 0.36% 1.27%
Enterprise Value to Invested Capital (EV/IC)
0.57 0.87 0.85 0.78 1.01 1.02 1.12 1.19 1.13 1.71 1.46
Enterprise Value to Revenue (EV/Rev)
0.99 1.51 1.54 1.43 1.83 1.81 2.04 2.18 2.02 1.13 24.55
Enterprise Value to EBITDA (EV/EBITDA)
5.72 7.87 7.56 6.77 8.56 10.06 11.77 12.64 11.73 5.61 21.12
Enterprise Value to EBIT (EV/EBIT)
224.31 66.48 43.25 33.63 42.33 362.31 0.00 0.00 0.00 50.14 28.35
Enterprise Value to NOPAT (EV/NOPAT)
320.44 274.78 82.77 68.25 76.30 0.00 0.00 0.00 0.00 36.85 0.00
Enterprise Value to Operating Cash Flow (EV/OCF)
6.27 6.66 6.94 5.37 7.08 7.58 8.70 9.64 8.78 8.02 19.92
Enterprise Value to Free Cash Flow (EV/FCFF)
0.00 61.83 516.90 20.59 28.67 134.98 35.82 32.72 25.47 0.95 0.00
Leverage & Solvency
- - - - - - - - - - -
Debt to Equity
0.69 0.63 0.66 0.65 0.62 0.63 0.62 0.62 0.61 0.27 0.26
Long-Term Debt to Equity
0.67 0.63 0.65 0.65 0.61 0.62 0.62 0.61 0.61 0.26 0.26
Financial Leverage
0.53 0.50 0.53 0.54 0.51 0.48 0.51 0.49 0.46 0.29 -0.26
Leverage Ratio
2.37 2.36 2.37 2.34 2.31 2.30 2.29 2.26 2.25 2.16 2.11
Compound Leverage Factor
1.67 2.07 1.29 2.38 2.06 2.35 3.56 2.21 2.32 -4.50 -0.33
Debt to Total Capital
40.71% 38.68% 39.70% 39.40% 38.18% 38.61% 38.29% 38.22% 38.08% 20.99% 20.76%
Short-Term Debt to Total Capital
0.70% 0.24% 0.26% 0.26% 0.26% 0.27% 0.29% 0.35% 0.37% 0.06% 0.13%
Long-Term Debt to Total Capital
40.01% 38.44% 39.44% 39.14% 37.92% 38.34% 37.99% 37.87% 37.70% 20.92% 20.63%
Preferred Equity to Total Capital
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Noncontrolling Interests to Total Capital
0.36% 0.37% 0.36% 0.40% 0.41% 0.43% 0.42% 0.40% 0.40% 0.23% 0.21%
Common Equity to Total Capital
58.93% 60.95% 59.94% 60.20% 61.43% 60.96% 61.30% 61.38% 61.52% 84.12% 79.03%
Debt to EBITDA
4.47 3.84 3.85 3.74 3.54 4.24 4.38 4.45 4.46 0.90 3.56
Net Debt to EBITDA
3.56 3.01 3.09 2.92 2.74 3.15 3.46 3.42 3.16 -0.14 0.78
Long-Term Debt to EBITDA
4.40 3.82 3.83 3.72 3.52 4.21 4.34 4.41 4.42 0.90 3.54
Debt to NOPAT
250.71 134.15 42.19 37.73 31.56 -30.55 -340.36 -185.39 -176.83 5.91 -5.97
Net Debt to NOPAT
199.68 105.22 33.77 29.48 24.44 -22.65 -269.17 -142.47 -125.28 -0.91 -1.31
Long-Term Debt to NOPAT
246.43 133.32 41.91 37.48 31.35 -30.34 -337.74 -183.70 -175.09 5.89 -5.93
Altman Z-Score
0.95 1.16 1.15 1.13 1.29 1.24 1.34 1.43 1.39 1.99 1.27
Noncontrolling Interest Sharing Ratio
0.61% 0.48% 0.61% 0.62% 0.61% 0.65% 0.64% 0.66% 0.63% -1.84% 0.00%
Liquidity Ratios
- - - - - - - - - - -
Current Ratio
1.49 1.35 1.55 1.67 1.55 1.57 1.52 1.70 1.87 0.65 0.72
Quick Ratio
1.16 1.08 1.23 1.33 1.29 1.31 1.24 1.37 1.62 0.64 0.68
Cash Flow Metrics
- - - - - - - - - - -
Free Cash Flow to Firm (FCFF)
-117 101 -32 211 173 83 217 284 341 4,188 -256
Operating Cash Flow to CapEx
225.16% 319.42% 95.45% 152.63% 228.47% 189.92% 88.41% 222.22% 433.33% 0.00% -2,348.74%
Free Cash Flow to Firm to Interest Expense
-2.29 2.02 -0.66 4.90 3.85 1.69 4.71 7.09 7.58 472.99 0.00
Operating Cash Flow to Interest Expense
6.84 6.58 3.06 4.72 6.96 5.00 2.65 4.00 7.22 -9.27 0.00
Operating Cash Flow Less CapEx to Interest Expense
3.80 4.52 -0.15 1.63 3.91 2.37 -0.35 2.20 5.56 5.23 0.00
Efficiency Ratios
- - - - - - - - - - -
Asset Turnover
0.37 0.36 0.36 0.36 0.36 0.36 0.36 0.35 0.35 0.48 0.02
Accounts Receivable Turnover
4.02 3.89 3.85 3.99 3.97 4.05 3.94 4.00 3.95 7.94 9.48
Inventory Turnover
9.21 8.50 7.51 7.74 9.43 9.73 8.62 8.99 11.80 0.00 0.00
Fixed Asset Turnover
1.53 1.51 1.50 1.49 1.48 1.49 1.48 1.50 1.52 2.57 0.42
Accounts Payable Turnover
6.91 4.76 5.72 7.77 6.55 4.82 6.65 7.28 6.53 9.32 2.12
Days Sales Outstanding (DSO)
90.82 93.86 94.80 91.53 92.01 90.17 92.56 91.32 92.43 45.98 38.51
Days Inventory Outstanding (DIO)
39.64 42.93 48.58 47.16 38.72 37.53 42.32 40.62 30.93 0.00 0.00
Days Payable Outstanding (DPO)
52.80 76.62 63.79 46.95 55.72 75.73 54.86 50.17 55.89 39.17 171.86
Cash Conversion Cycle (CCC)
77.67 60.17 79.59 91.75 75.01 51.97 80.02 81.77 67.48 6.82 -133.35
Capital & Investment Metrics
- - - - - - - - - - -
Invested Capital
7,110 6,912 7,092 7,071 6,957 6,766 6,869 6,808 6,647 2,454 2,743
Invested Capital Turnover
0.58 0.57 0.55 0.54 0.55 0.56 0.54 0.53 0.54 0.81 0.06
Increase / (Decrease) in Invested Capital
124 -75 61 -187 -153 -146 -223 -263 -310 -4,312 189
Enterprise Value (EV)
4,038 5,983 6,012 5,516 7,027 6,884 7,686 8,102 7,484 4,204 4,000
Market Capitalization
1,494 3,664 3,531 3,103 4,745 4,700 5,394 5,878 5,437 4,301 3,845
Book Value per Share
$53.98 $53.98 $54.42 $54.80 $55.02 $53.28 $53.22 $53.94 $54.12 $31.41 $29.72
Tangible Book Value per Share
($1.43) ($1.02) ($0.79) ($0.62) ($0.45) $0.07 ($0.02) $0.05 $0.20 $12.24 $10.71
Total Capital
7,760 7,552 7,718 7,738 7,613 7,516 7,467 7,470 7,477 3,211 3,249
Total Debt
3,159 2,921 3,064 3,049 2,907 2,902 2,859 2,855 2,847 674 674
Total Long-Term Debt
3,105 2,903 3,044 3,029 2,887 2,882 2,837 2,829 2,819 672 670
Net Debt
2,516 2,291 2,453 2,382 2,251 2,152 2,261 2,194 2,017 -104 148
Capital Expenditures (CapEx)
155 103 154 133 137 129 138 72 75 -128 8.60
Debt-free, Cash-free Net Working Capital (DFCFNWC)
360 227 369 393 313 266 339 410 343 -510 -165
Debt-free Net Working Capital (DFNWC)
546 380 519 578 508 538 483 592 729 -185 -51
Net Working Capital (NWC)
492 362 499 558 488 518 461 566 701 -187 -55
Net Nonoperating Expense (NNE)
2.08 3.22 13 -0.46 2.25 15 -10 0.50 -0.89 -104 -104
Net Nonoperating Obligations (NNO)
2,509 2,281 2,438 2,382 2,251 2,152 2,261 2,193 2,017 -84 169
Total Depreciation and Amortization (D&A)
160 160 166 165 164 170 166 163 162 -289 12
Debt-free, Cash-free Net Working Capital to Revenue
8.83% 5.74% 9.45% 10.16% 8.15% 7.00% 8.99% 11.05% 9.27% -13.71% -100.97%
Debt-free Net Working Capital to Revenue
13.40% 9.61% 13.29% 14.94% 13.23% 14.16% 12.81% 15.95% 19.70% -4.96% -31.38%
Net Working Capital to Revenue
12.07% 9.15% 12.78% 14.42% 12.71% 13.64% 12.23% 15.25% 18.95% -5.02% -33.87%
Earnings Adjustments
- - - - - - - - - - -
Adjusted Basic Earnings per Share
$0.05 $0.26 $0.18 $0.21 $0.20 ($0.92) $0.05 $0.21 $0.37 ($0.45) $0.44
Adjusted Weighted Average Basic Shares Outstanding
85M 85M 85M 85M 86M 86M 86M 85M 86M 86.25M 85.91M
Adjusted Diluted Earnings per Share
$0.05 $0.26 $0.17 $0.20 $0.20 ($0.92) $0.06 $0.21 $0.36 ($0.44) $0.43
Adjusted Weighted Average Diluted Shares Outstanding
86M 86M 87M 88M 88M 86M 86M 88M 88M 86.85M 87.29M
Adjusted Basic & Diluted Earnings per Share
$0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
Adjusted Weighted Average Basic & Diluted Shares Outstanding
85.27M 85M 85M 85M 86M 86M 85M 85M 86M 86.40M 86.40M
Normalized Net Operating Profit after Tax (NOPAT)
26 41 16 39 28 34 -5.60 21 29 -4.38 -68
Normalized NOPAT Margin
2.71% 4.22% 1.61% 4.13% 2.97% 3.64% -0.58% 2.36% 3.20% -9.29% 0.00%
Pre Tax Income Margin
2.51% 5.19% 1.20% 5.47% 3.45% -9.98% -1.44% 4.49% 3.93% 100.21% 0.00%
Debt Service Ratios
- - - - - - - - - - -
EBIT to Interest Expense
0.67 1.14 0.46 1.19 0.80 -1.84 -0.20 1.03 0.78 -2.56 0.00
NOPAT to Interest Expense
0.14 0.52 0.61 0.55 0.45 -1.29 -0.14 0.51 0.69 -14.02 0.00
EBIT Less CapEx to Interest Expense
-2.37 -0.92 -2.75 -1.91 -2.24 -4.47 -3.20 -0.78 -0.89 11.94 0.00
NOPAT Less CapEx to Interest Expense
-2.90 -1.54 -2.60 -2.55 -2.59 -3.92 -3.14 -1.29 -0.98 0.49 0.00
Payout Ratios
- - - - - - - - - - -
Dividend Payout Ratio
-15.00% 13.33% 5.17% 5.88% 4.94% -25.00% -15.63% -13.89% -18.18% 5,625.60% -2,831.37%
Augmented Payout Ratio
-140.00% 113.33% 15.52% 5.88% 4.94% -155.00% -184.38% -222.22% -359.09% 5,764.48% -2,800.50%

Financials Breakdown Chart

Key Financial Trends

The data you provided appears to reflect United States Cellular Corp (ticker AD in your dataset), not Array Digital Infrastructure (AD). If you intended Array Digital Infrastructure, please share the correct figures. Below is a concise, bulleted trend summary based on the latest four years of quarterly data in the dataset you supplied.

  • Q4 2025: Net income attributable to common shareholders of $38.22 million, with basic earnings per share of $0.44 and diluted earnings per share of $0.43.
  • Q4 2025 cash flow from continuing operating activities: $52.62 million, indicating positive cash generation from core operations in the quarter.
  • Q4 2025 the company posted a strong end-of-year cash position: net change in cash and equivalents of +$3.678 billion.
  • Q4 2025 earnings per share improved to $0.44 (basic) and $0.43 (diluted) versus Q3 2025 levels (Q3 2025 basic $0.37, diluted $0.36).
  • Late 2025 balance sheet shows a solid base: Total assets about $4.92 billion and estimated equity around $2.54 billion, implying a stable capital structure.
  • Revenue figures in the data are shown with negative signs due to the dataset’s reporting convention; this does not necessarily reflect a decline in underlying revenue and should be interpreted with caution.
  • Investing cash flows are typically negative across quarters, reflecting ongoing capital investments; in Q4 2025 investing cash outflow was modest relative to the overall size of the balance sheet.
  • Dividend per share reported for Q4 2025 is $23.00, indicating ongoing shareholder returns as part of capital allocation, a neutral factor for liquidity depending on cash flow sufficiency.
  • Net income from continuing operations in Q4 2025 was negative (-$88.74 million), showing earnings pressure within the core business despite positive overall net income.
  • Net cash from discontinued operating activities in Q4 2025 was -$254.68 million, a sizable drag on quarterly cash flow and a potential focal point for investors assessing ongoing profitability vs. legacy components.
05/05/26 03:54 PM ETAI Generated. May Contain Errors.

Frequently Asked Questions About Array Digital Infrastructure's Financials

When does Array Digital Infrastructure's fiscal year end?

According to the most recent income statement we have on file, Array Digital Infrastructure's financial year ends in December. Their financial year 2025 ended on December 31, 2025.

How has Array Digital Infrastructure's net income changed over the last 10 years?

Array Digital Infrastructure's net income appears to be on a downward trend, with a most recent value of $69.19 million in 2025, falling from $247 million in 2015. The previous period was -$31.58 million in 2024. View Array Digital Infrastructure's forecast to see where analysts expect Array Digital Infrastructure to go next.

What is Array Digital Infrastructure's operating income?
Array Digital Infrastructure's total operating income in 2025 was -$92.53 million, based on the following breakdown:
  • Total Gross Profit: $83.48 million
  • Total Operating Expenses: $176.01 million
How has Array Digital Infrastructure's revenue changed over the last 10 years?

Over the last 10 years, Array Digital Infrastructure's total revenue changed from $4.03 billion in 2015 to $162.96 million in 2025, a change of -96.0%.

How much debt does Array Digital Infrastructure have?

Array Digital Infrastructure's total liabilities were at $2.10 billion at the end of 2025, a 64.0% decrease from 2024, and a 39.7% decrease since 2015.

How much cash does Array Digital Infrastructure have?

In the past 10 years, Array Digital Infrastructure's cash and equivalents has ranged from $113.40 million in 2025 to $1.27 billion in 2020, and is currently $113.40 million as of their latest financial filing in 2025.

How has Array Digital Infrastructure's book value per share changed over the last 10 years?

Over the last 10 years, Array Digital Infrastructure's book value per share changed from 42.25 in 2015 to 29.72 in 2025, a change of -29.7%.



Financial statements for NYSE:AD last updated on 4/9/2026 by MarketBeat.com Staff. New filings and market data are monitored continuously.
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