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Capital Clean Energy Carriers Corp.
CCEC
NASDAQ
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Income
Balance
Cash Flow
Annual
Quarterly
3Y
5Y
10Y
All
Revenue
$369M
↑2%
Gross Profit
$208M
↑18%
Operating Income
$191M
↑27%
Net Income
$192M
↑313%
EBITDA
$296M
↑25%
EPS Diluted
2.6
Cost of Revenue
$162M
Gross Margin %
56.3%
R&D Expenses
$0
SG&A Expenses
$17M
Operating Expenses
$17M
Operating Margin %
51.7%
Interest Expense
$140M
Income Before Tax
$55M
Income Tax Expense
$0
Net Margin %
52.0%
EPS
2.6
Shares Out (Diluted)
56.1M
Shares Out (Basic)
56.1M
Total Costs & Expenses
$178M
Interest Income
$0
EBITDA Margin %
80.3%
Pre-Tax Margin %
14.8%
Other Income/Expenses
$-137M
Revenue CAGR (5Y)
+24.7%
Margin Trend
improving
Free Cash Flow
($1.0B)
Profitability
Profitable
Metric
Dec 20
Dec 21
Dec 22
Dec 23
Dec 24
Revenue
141
185
↑31.1%
299
↑62.0%
361
↑20.6%
369
↑2.4%
Gross Profit
54
80
↑46.8%
146
↑82.8%
176
↑20.3%
208
↑18.2%
Operating Income
47
71
↑50.8%
135
↑90.1%
151
↑11.4%
191
↑26.7%
Net Income
30
98
↑223.3%
125
↑27.7%
47
↓62.9%
192
↑312.8%
EBITDA
100
125
↑25.0%
217
↑72.7%
237
↑9.4%
296
↑25.0%
EPS Diluted
1.64
5.14
↑213.4%
6.19
↑20.4%
2.15
↓65.3%
2.60
↑20.9%
Show all metrics
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Values in millions except EPS · Ratios shown as percentages