charter communications stock price guide
Charter Communications stock price
This article covers the charter communications stock price: where current and historical prices are reported, the metrics investors watch, events that move the share, and practical ways to track and trade Charter Communications, Inc. (NASDAQ: CHTR). Read on to learn how price quotes are generated, which data sources to consult, what recent short-interest shows, and how market, corporate and industry factors influence valuation. By the end you will know where to verify market-cap and volume figures, how to interpret short interest, and how to follow CHTR price updates on public platforms and Bitget.
Note: This article is informational and not investment advice. Verify all current prices and data with official sources such as Charter investor relations and real-time market feeds.
Company overview
Charter Communications, commonly branded as Spectrum, is a large U.S. cable and broadband operator that provides residential and business internet, video, mobile wireless services and advertising solutions. The company operates under the ticker symbol CHTR on the NASDAQ exchange. Charter's primary business lines include residential broadband and video services, business broadband and voice, mobile services that resell wireless capacity, and advertising/marketing services connected to its large customer base.
Charter's scale, subscriber trends, broadband pricing, and capital structure are important drivers of the charter communications stock price. Changes in subscriber additions or losses, ARPU (average revenue per user), capital expenditures to expand network and fiber, and leverage metrics tend to influence investor sentiment and thus the stock price.
How the stock price is reported
The charter communications stock price appears across multiple public and private data providers. Important concepts when viewing a quote:
- Real-time vs delayed quotes: Many free public sites display delayed quotes (commonly 15 minutes). Brokerage platforms and some paid terminals provide real-time or near-real-time data.
- Primary exchange and ticker: CHTR trades on NASDAQ; the printed ticker and exchange affect how data aggregators tag quotes.
- Regular market hours and extended sessions: Prices printed during regular hours reflect the main session; there is separate after-hours and pre-market trading that can show significant moves before the next official open.
- Quote fields: Typical fields include open, high, low, last/close, bid/ask, volume, 52-week high/low and market capitalization. Providers like Yahoo Finance, CNBC, and TradingView display these with various refresh rates.
When you consult any source for the charter communications stock price, check the timestamp and whether the feed is real-time or delayed. Brokerage platforms often offer the most timely fills and bid/ask information for trading decisions.
Key market data and metrics
To interpret the charter communications stock price, market participants typically look at a set of standard metrics:
- Market capitalization: The market-implied equity value (price × shares outstanding). This is a quick measure of company scale and is updated intraday by most data providers.
- Shares outstanding / float: Total shares vs. shares available for public trading (float) matters for liquidity and short-interest ratios.
- Price-to-earnings ratio (P/E): Calculated using trailing twelve months (TTM) earnings or forward estimates; a common valuation yardstick.
- Earnings per share (EPS): TTM or adjusted EPS that feed into P/E and analyst models.
- Price-to-sales and price-to-book: Useful when earnings are volatile or for comparing to industry peers.
- Enterprise value (EV): Equity value plus net debt; used with EV/EBITDA multiples.
- Beta: A measure of historical relative volatility vs. the market.
- Volume and average daily volume: Liquidity indicators that affect how quickly large orders move the charter communications stock price.
- Short interest and days-to-cover: Shows the percentage of float sold short and the estimated time to buy back those shares at recent volume levels; high short interest can be a sentiment indicator.
Public platforms (e.g., Yahoo Finance, CNBC, Robinhood, eToro) publish these metrics and may show analyst consensus estimates, target prices and rating distributions. Corporate filings, company investor-relations pages and SEC reports provide definitive shares outstanding, GAAP earnings and official disclosures.
Price ranges and historical performance
Recent and intra-year performance
The charter communications stock price fluctuates with quarterly results, market-wide moves, and sector news. Common snapshot metrics investors check are the 52-week high and low, recent closing prices, and intraday volatility. Because aggregates and snapshots refresh continuously, always note the provider and timestamp when quoting a price or a 52-week range.
As of January 28, 2026, according to Benzinga, the last quoted price for Charter Communications Inc (CHTR) was $193.30. That same Benzinga report highlighted a notable short-interest snapshot (see the short interest section below). For up-to-the-minute 52-week high/low and recent close, consult major financial portals or the company's investor relations page, and confirm whether the feed is real-time or delayed.
Long-term historical trends
Looking at multi-year charts helps place the charter communications stock price in context. Over longer horizons, the stock has reflected major corporate events (mergers or asset sales), secular industry shifts (cord-cutting and broadband demand), and macroeconomic cycles. Services such as Macrotrends and company investor relations provide downloadable historical daily closes, adjusted for corporate actions, which are useful for long-term trend analysis.
Adjustments and corporate actions affecting historical series
When viewing historical price series for charter communications stock price, be aware of adjustments from stock splits, mergers, or other corporate actions that change the share count or per-share metrics. For example, large M&A transactions are commonly reflected as adjustments in long-term charts. Always check the note/adjustment column in a historical dataset (company IR or Macrotrends) to understand how past prices are normalized for splits or consolidations.
Major events that have influenced the stock price
Several categories of events tend to move the charter communications stock price materially:
Earnings releases and guidance
Quarterly earnings and management guidance are standard catalysts. Surprises to revenue, subscriber trends, EBITDA, or guidance can spark intraday price swings. Analysts and media outlets (CNBC, Motley Fool) often report how the charter communications stock price reacts to earnings beats or misses.
Mergers, acquisitions and divestitures
Strategic transactions—whether large acquisitions, asset sales, or dispositions of business lines—directly affect expectations for future cash flows and leverage, and therefore the charter communications stock price. Historical M&A activity is reflected in long-term charts and in press releases on the company investor relations page.
Debt and capital markets activity
Charter carries meaningful leverage relative to peers due to capital-intensive network buildouts. Large bond issuances, credit rating changes, or notable changes in debt covenants can affect equity valuations. Market reaction to debt offerings or refinancing news is typical: improved maturities or lower coupons can have a positive tone, while rising yields or covenant stress can weigh on the charter communications stock price.
Regulatory, competitive and industry developments
Regulatory decisions affecting broadband, net neutrality debates, franchise fees, or local franchising agreements can change expected margins and returns. Competitive pressure from other cable operators, telco fiber builds, and streaming competition that accelerates cord-cutting are recurring themes that influence the charter communications stock price.
Analyst coverage and price targets
Major brokerages and independent research providers publish analyst ratings (buy/hold/sell) and price targets for Charter (CHTR). Aggregators like Yahoo Finance and eToro typically display consensus target ranges and the distribution of ratings. Upgrades and downgrades can cause short-term moves in the charter communications stock price, especially when a major brokerage changes its outlook.
Analysts rely on subscriber trends, ARPU, margin expansion, free cash flow conversion and leverage metrics to set targets. When examining analyst coverage, note the date of the note and whether the target reflects updated guidance or one-off items.
Ownership and trading dynamics
Institutional and insider ownership
Large institutional holders can represent a significant portion of Charter's float, affecting liquidity and stability of the share price. Insider transactions—executive buys or sells—tend to attract investor attention; however, institutional rebalances or ETF inclusion/exclusion events can also move the charter communications stock price through flows.
Trading volume and liquidity
Average daily trading volume and intra-day liquidity affect how quickly large orders move the price. A thinly traded name will see larger price impact from block trades. For Charter, volume is typically sufficient for institutional participation, but volume patterns vary day-to-day. Platforms reporting average daily volume include CNBC, Robinhood, and major data providers.
Dividends, corporate actions and shareholder returns
Charter Communications historically has prioritized investing in its network and managing leverage. As such, Charter's dividend policy and payout history differ from dividend-focused utilities. Investors should check the company's investor relations page and filing history for any declared dividends, special distributions, or share-repurchase programs that affect shareholder returns and, ultimately, the charter communications stock price.
Where corporate actions such as share buybacks occur, they may support the stock price by reducing float; conversely, heavy capital expenditures or dividend cuts can exert downward pressure.
Valuation considerations and risks
Valuation of the charter communications stock price commonly rests on several pillars:
- Earnings and EBITDA generation: Trailing and forward earnings guide P/E and EV/EBITDA multiples.
- Free cash flow (FCF): FCF conversion relative to revenue and capex drives long-term valuation.
- Subscriber trends and ARPU: Net adds, churn and pricing power inform revenue forecasts.
- Leverage and interest costs: High debt levels increase sensitivity to interest-rate moves and refinancing risk.
Key risks that bear on the charter communications stock price include high leverage, increased competition (from fiber deployments and OTT services), regulatory changes, and technological shifts that alter consumer behavior (e.g., accelerated cord-cutting). These factors are often highlighted in research notes and financial media coverage.
How to track and trade Charter Communications stock
If you want to follow or trade the charter communications stock price, common approaches include:
- Brokerage platforms: Use a regulated broker to place trades during market hours or extended sessions. For those seeking a single provider experience, consider trading on Bitget (where available), which offers market data, order types and custody.
- Financial portals and charting tools: Sites like Yahoo Finance, CNBC, Macrotrends and TradingView provide quotes, charts and historical data. Confirm whether the displayed quote is real-time or delayed before making trading decisions.
- Company investor relations: For official historical closes, filings, and press releases, use Charter's investor relations materials and SEC filings.
When trading, be aware of bid/ask spreads and whether your platform provides real-time fills. If using a third-party charting site, always reconcile prices with your broker's execution print if you plan to place orders.
Historical data sources and charting tools
Principal public sources for historical charter communications stock price and charts include:
- Company investor relations pages and SEC filings for authoritative historical closes and corporate-action notes.
- Macrotrends for downloadable long-term adjusted price series.
- Yahoo Finance and CNBC for daily quotes, key metrics and analyst consensus.
- Trading platforms and charting services for intraday data and technical overlays.
Each source lists the data frequency available (daily, weekly, monthly) and whether prices are adjusted for splits or corporate actions.
Notable recent news and developments
As of January 28, 2026, there are a few recurring themes that have affected the charter communications stock price:
- Quarterly earnings surprises and updated guidance that move short-term sentiment.
- Debt and capital markets activity that alters leverage expectations.
- Industry-level competition from fiber deployments and changing video consumption patterns.
- Short-interest dynamics and positioning among hedge funds and institutional investors (see the short interest section below for a quantified snapshot).
Sources reporting these items include mainstream financial portals and automated news engines.
Short interest and what it implies (recent data)
As of January 28, 2026, according to Benzinga, Charter Communications Inc's short interest has risen 5.16% since its last report. Exchange-reported data show 17.33 million shares sold short, representing 26.11% of the float. Based on recent average trading volume, it would take approximately 9.79 days to cover the short positions at that volume level.
Why this matters:
- Short interest is the count of shares sold short but not yet covered; rising short interest can indicate growing bearish sentiment, while falling short interest may reflect moderating concerns or short covering.
- A high short-interest percent of float (like the 26.11% cited) is notable versus typical peer averages; for example, peer-group averages reported by data services may be materially lower.
- Days-to-cover measures potential pressure points: a larger days-to-cover makes it more difficult for shorts to exit quickly without moving the stock price.
This Benzinga report provides a snapshot of positioning in the market; it does not by itself predict future moves for the charter communications stock price, but it is a quantifiable indicator of market sentiment as reported by exchange data.
Analyst activity, price targets and observed effects
Analyst revisions, published price targets and rating changes often produce measurable moves in the charter communications stock price. Aggregators display consensus targets and rating distributions; when a well-known analyst upgrades or lowers a target, intraday reactions are common. Historical event tables in news platforms show which analyst notes correlated with price moves.
When reading analyst commentary, note whether the change arises from updated subscriber metrics, a change to the competitive set, or a reassessment of leverage and cash flow.
Ownership structure and institutional flows
Large institutional holders and ETFs that include Charter can cause flow-driven moves in the charter communications stock price during rebalances, additions or deletions. Institutional ownership disclosures and 13F filings are public and help map which asset managers hold meaningful stakes. Institutional interest tends to support liquidity, but concentrated holdings can also lead to volatility when large funds adjust positions.
Insider activity (executive buys or sells) is a separately disclosed item and can be a signal that draws media attention, though companies with large share counts can dilute the price effect of routine insider trades.
Corporate governance and capital allocation
Capital allocation decisions—capex intensity to expand fiber, share repurchases, dividend policy, and debt management—are central to valuation and therefore influence the charter communications stock price over time. Management guidance, board decisions on buybacks or dividends, and debt maturity ladders are all disclosed through investor relations and SEC filings.
Risks and how they show up in price moves
The primary risks that could affect the charter communications stock price include:
- High leverage and rising interest rates increasing interest expense.
- Competitive encroachment from fiber and alternative broadband providers, which can slow net-adds and pressure ARPU.
- Regulatory changes that materially affect operating costs or pricing flexibility.
- Macroeconomic downturns that slow consumer spending and raise churn.
These risks are often reflected in valuation multiples, widenings in credit spreads, and changes to forward guidance.
How to interpret multiple data sources
Different platforms may show slightly different charter communications stock price snapshots due to quote delays, rounding, and whether the feed is consolidated. When reconciling:
- Check the timestamp and whether quotes are real-time or delayed.
- Compare the last trade price with the broker execution print.
- Confirm whether historical series are adjusted for splits or corporate actions.
- Use company investor relations and SEC filings for definitive share counts, reported earnings and official corporate actions.
Practical checklist for tracking CHTR price
- Verify whether a quote is real-time or delayed when citing the charter communications stock price.
- Use company IR for official historical closes and corporate-action notes.
- Note short-interest reports and days-to-cover as sentiment indicators (e.g., Benzinga short-interest snapshot on January 28, 2026).
- Monitor earnings calendars and guidance for quarterly catalysts.
- Watch industry news on competition and regulatory developments.
- Use reliable broker execution prints if you plan to trade; for custody and execution consider Bitget as a trading and wallet option.
References and external sources
This article synthesizes commonly used public sources for market quotes and corporate data. Representative sources include: Yahoo Finance, Charter Communications investor relations, CNBC, Robinhood (for retail snapshots), Macrotrends (for long-term historical series), Gotrade-type platforms for retail snapshots, CNN/CNBC market pages, eToro (analyst consensus displays), The Motley Fool (company analysis), and Benzinga (short-interest and market snapshots). Data and snapshot numbers are timestamped and vary; always check the provider for the latest figures.
As of January 28, 2026, according to Benzinga, Charter Communications Inc's short interest rose 5.16% since the last report, with 17.33 million shares sold short (26.11% of float) and a days-to-cover of 9.79.
See also
- Charter Communications (company profile)
- Comcast (sector peer)
- Altice and Liberty Broadband (peers)
- NASDAQ (exchange concepts)
- Market capitalization and P/E ratio (valuation concepts)
Further reading and next steps
If you want to stay current with the charter communications stock price, follow these steps:
- Bookmark Charter’s investor relations page for official filings and historical closes.
- Use a reliable broker or Bitget to view real-time quotes and to execute trades with appropriate order types.
- Track short-interest updates from exchange-reported sources for sentiment signals.
- Review analyst notes and consensus targets on major finance portals, noting dates of revisions.
Explore Bitget features for market data, order types and custody solutions, and consider Bitget Wallet for secure asset storage related to your broader portfolio needs.
Last updated: As of January 28, 2026 (data points and short-interest figures referenced from Benzinga and other public financial portals). Verify live quotes with your broker or an official market feed.
Reminder: This article is informational. It does not provide investment advice. Verify all price and corporate data with primary sources before making decisions.






















