u/Mockingburdz ·
Reddit — r/ValueInvesting
· April 29, 2026 at 20:59
· ⬆ 15 pts
· 💬 25 comments
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AI Summary
Summary
Author highlights Charter Communications (CHTR) trading at extreme multiples: P/S 0.35, P/E TTM 4.28, P/E FWD 3.7, market cap $19.5B vs annual net income ~$5.77B.
Thesis: Even with zero growth, the stock appears deeply undervalued as a pure income play, questioning why it continues to fall.
Quality assessment: Well-researched DD with concrete financial data, but acknowledges sector concerns and admits not holding a position yet.
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Comments25
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Ticker: $CHTR
Down another 8% today. 34% in the last 5 days.
Market Cap: $19.5 B
Annual Revenue 2025: $54.77 B
Annual Net Income 2025: $5.77 B
P/S Ratio is a paltry 0.35!
P/E FWD: 3.7
P/E TTM: 4.28
I just don’t understand how this stock can get any cheaper. Its growth seems to have stalled or completely disappeared, but even if growth is completely gone, isn’t this priced too cheap for income now?
They’re averaging $5 billion a year in Net Income. Pure profit, since 2021. And the entire business is trading under $20 billion.
What am I missing here?
I don’t have a position but I’m pretty interested in starting one here. I just don’t like the sector that the business is in. There nothing sexy about what they do.
CHTR has generated ~$5B net income annually since 2021, yet entire market cap is only $19.5B, implying a ~4x earnings yield. The extreme valuation compression (down 34% in 5 days) creates a potential mean-reversion or value trap resolution opportunity if fundamentals hold. Despite sector unattractiveness, the price discounts severe deterioration not yet reflected in financials, offering a deep value entry. Continued subscriber losses, secular decline in cable/broadband, debt load (~$98B), or recessionary pressures could further compress valuation or impair earnings.
This Reddit post, published April 29, 2026,
features u/Mockingburdz
discussing CHTR.
1 trade idea extracted by AI with direction and confidence scoring.