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Consolidated Balance Sheet - USD ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
ASSETS    
Cash and cash equivalents $ 119 $ 105
Restricted cash and cash equivalents 171 171
Receivables, net of allowance of $22 and $19, respectively 478 481
Prepaid expenses 106 103
Deferred site rental receivables, current 176 116
Other current assets 40 56
Total current assets 1,090 1,032
Deferred site rental receivables 2,343 2,239
Property and equipment, net 15,495 15,666
Operating lease right-of-use assets 5,797 6,187
Goodwill 5,127 10,085
Site rental contracts and tenant relationships, net 2,727 3,122
Other intangible assets, net 54 57
Other assets, net 103 139
Total assets 32,736 38,527
LIABILITIES AND EQUITY (DEFICIT)    
Accounts payable 192 252
Accrued interest 244 219
Deferred revenues 476 605
Other accrued liabilities 359 342
Current maturities of debt and other obligations 610 835
Current portion of operating lease liabilities 296 332
Total current liabilities 2,177 2,585
Debt and other long-term obligations 23,471 22,086
Operating lease liabilities 5,236 5,561
Other long-term liabilities 1,985 1,914
Total liabilities 32,869 32,146
CCI stockholders' equity (deficit):    
Common stock, $0.01 par value; 1,200 shares authorized; shares issued and outstanding: December 31, 2024—435 and December 31, 2023—434 4 4
Additional paid-in capital 18,393 18,270
Accumulated other comprehensive income (loss) (5) (4)
Dividends/distributions in excess of earnings (18,525) (11,889)
Total equity (deficit) (133) 6,381
Total liabilities and equity (deficit) $ 32,736 $ 38,527