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American Tower Corporation

AMT

$170.06
1.14 (0.67%)
polled · warming up

Below: live stock price for American Tower Corporation (AMT), a 1-year chart, 8 indicators (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume), and a compare mode. Add to your portfolio, star to your watchlist, or set a price alert in one place.

American Tower Corporation (AMT) is a Real Estate company based in United States. Operating in REIT - Specialty, it employs about 4,866 people. Over the past year AMT traded between 160.06 and 234.33 USD. Trailing P/E sits near 27.38 on a market cap of about 79.23B USD. It currently yields 4.10% in dividends.

Day
+0.67%
+1.14
Week
+0.87%
+1.47
Month
-3.40%
-5.99
Year
Prev close
$168.92
Volume (24h)
$337.27M
Market cap
$79.23B
Currency
USD

Score

43/ 100 · Weak

Coverage: 7/7
  • Value28
  • Quality78
  • Momentum17
  • Growth69
  • Risk62
  • Dividend45
  • Liquidity0

Composite of public market data. Informational only — not investment advice.

Trend projection

Where the recent trend points if it continues.

DowntrendFit 20%Pace -0.12% per bar
+5 bars+20 bars+60 bars+120 bars
+5 bars
169.2725
-0.46%
Bull204.1504
Bear140.3533
+20 bars
168.1919
-1.10%
Bull244.643
Bear115.6319
+60 bars
167.7758
-1.34%
Bull321.0566
Bear87.6752
+120 bars
167.7605
-1.35%
Bull420.0386
Bear67.0024

Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0419 USD.

Interpretation

Composite signals look weak. Strength: quality with weakness: balance-sheet liquidity. Price sits near the lower third of the recent range, trend is sloping downward.

Descriptive observation — not investment advice.

Score breakdown

Raw values behind each pillar so you can see what the composite is reading.

  • Value
    28/100

    Value looks fragile — driven by P/E (27.38).

    P/E:27.38P/B:22.5PEG:1.78
  • Quality
    78/100

    Quality looks strong — driven by Gross margin (73.96%).

    ROE:29.95%ROA:4.91%Profit margin:26.81%Gross margin:73.96%
  • Momentum
    17/100

    Momentum looks fragile — driven by 52w change (-24.92%).

    52w change:-24.92%
  • Growth
    69/100

    Growth looks solid — driven by Earnings growth (76.90%).

    Revenue growth:6.80%Earnings growth:76.90%
  • Risk
    62/100

    Risk looks solid — driven by Debt / equity (444.55).

    Beta:0.91Debt / equity:444.55Short interest:1.89%
  • Dividend
    45/100

    Dividend looks mixed — driven by Payout ratio (82.26%).

    Dividend yield:4.10%Payout ratio:82.26%
  • Liquidity
    0/100

    Liquidity looks fragile — driven by Current ratio (0.3).

    Current ratio:0.3Quick ratio:0.26

Derived from public market data — informational, not investment advice.

Reference levels

Fibonacci retracements and extensions across the recent range.

60 bars

Reference only — not investment advice.

These coordinates describe past-trade clustering, not where to buy or sell. Do your own research before any trade.

  • ResistanceFib +161.8% extension
    254.3604 USD
    +49.57% from current
  • ResistanceFib +100% extension
    232.1 USD
    +36.48% from current
  • ResistanceFib +61.8% extension
    218.3404 USD
    +28.39% from current
  • ResistanceFib +27.2% extension
    205.8774 USD
    +21.06% from current
  • ResistanceFib 23.6% retracement
    187.5793 USD
    +10.30% from current
  • ResistanceFib 38.2% retracement
    182.3204 USD
    +7.21% from current
  • ResistanceFib 50% midpoint
    178.07 USD
    +4.71% from current
  • ResistanceFib 61.8% retracement
    173.8196 USD
    +2.21% from current
  • Current
    170.06 USD
  • SupportFib 78.6% retracement
    167.7683 USD
    -1.35% from current
  • SupportFib −27.2% extension
    150.2626 USD
    -11.64% from current
  • SupportFib −61.8% extension
    137.7996 USD
    -18.97% from current
  • SupportFib −100% extension
    124.04 USD
    -27.06% from current

Financials

52w high
$234.33
52w low
$160.06
52w change
-24.92%
Day high
$172.65
Day low
$168.91
P/E (TTM)
27.38
Forward P/E
24.8
PEG
1.78
Price / Book
22.5
Beta (5Y)
0.91
Enterprise value
129.38B
EV / Revenue
11.96
EV / EBITDA
18.51
EPS (TTM)
$6.21
Forward EPS
$6.86
Dividend yield
4.10%
Dividend rate
$6.98
Payout ratio
82.26%
Revenue (TTM)
10.82B
EBITDA
6.99B
Free cash flow
4.61B
Total cash
1.61B
Total debt
45.13B
Debt / Equity
444.55
Current ratio
0.3
Quick ratio
0.26
Profit margin
26.81%
Gross margin
73.96%
Return on assets
4.91%
Return on equity
29.95%
Shares outstanding
465.89M
Float
464.38M
Sector: Real EstateIndustry: REIT - SpecialtyHQ: United StatesEmployees: 4.87Kwww.americantower.com

American Tower Corporation is one of the largest global real estate investment trusts. It is a leading independent owner, operator and developer of multitenant communications real estate. The Company's primary business is the leasing of space on communications sites to wireless service providers, radio and television broadcast companies, wireless data providers, government agencies and municipalities and tenants in a few other industries. The Company refers to this business, inclusive of its data center business discussed below, as its property operations. Additionally, the Company offers tower-related services in the United States, which the Company refers to as its services operations. These services include site application, zoning and permitting, structural and mount analyses, and construction management services, together with program management offerings that support customer deployment needs from project scoping through construction. The Company's services operations primarily support the Company's site leasing business, including through the addition of new tenants and equipment on its sites. The Company's customers include its tenants, licensees and other payers. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Analyst & Risk

Consensus
Buy
Mean rating1.56 / 5
Analysts23
Next earnings2026-07-28
Strong buy 6Buy 15Hold 4
Analyst price target
$215.17
Mean target · 23 analysts
+26.5%
upside
Low $188.00Now $170.06High $260.00
Beta (vs S&P 500)
0.91
less volatile
52-week change
-24.92%
Short % of float
1.89%
Short ratio (days)
2.13
Debt / Equity
444.55
very high leverage
Current ratio
0.3
Quick ratio
0.26
ROE
29.95%
ROA
4.91%
PEG ratio
1.78
fair
EV / Revenue
11.96
EV / EBITDA
18.51
Revenue growth
6.80%
Earnings growth
76.90%
EBITDA
6.99B
Free cash flow
4.61B
Total cash
1.61B
Total debt
45.13B
Insider holdings
0.08%
Institutional
96.61%

Recent rating changes

  • 2026-07-09Wolfe ResearchPeer PerformOutperformup
  • 2026-06-26RBC CapitalSector PerformOutperformup
  • 2026-05-19BernsteinMarket PerformOutperformup
  • 2026-04-30RBC CapitalSector PerformSector Performreit
  • 2026-04-30Truist SecuritiesBuyBuymain
  • 2026-04-29JP MorganOverweightOverweightmain
  • 2026-04-29ScotiabankSector OutperformSector Outperformmain
  • 2026-04-29CitizensMarket OutperformMarket Outperformreit

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