stock · yahoo

American Tower Corporation

AMT

$177.15
4.23 (2.44%)
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 199.4 USD. Trailing P/E sits near 24.4 on a market cap of about 82.54B USD. It currently yields 4.04% in dividends.

Day
+2.44%
+4.23
Week
+1.69%
+2.94
Month
+1.06%
+1.85
Year
-9.76%
-19.16
Prev close
$172.92
Volume (24h)
$81.82M
Market cap
$82.54B
Currency
USD

Score

44/ 100 · Weak

Coverage: 7/7
  • Value33
  • Quality82
  • Momentum26
  • Growth68
  • Risk62
  • Dividend38
  • Liquidity0

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

Trend projection

Where the recent trend points if it continues.

SidewaysFit 1%Pace -0.02% per bar
+5 bars+20 bars+60 bars+120 bars
+5 bars
176.9574
-0.08%
Bull208.8845
Bear149.9103
+20 bars
176.7609
-0.19%
Bull246.2982
Bear126.8561
+60 bars
176.685
-0.23%
Bull313.8663
Bear99.4614
+120 bars
176.6822
-0.24%
Bull398.2015
Bear78.394

Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0371 USD.

Interpretation

Composite signals look weak. Strength: quality with weakness: balance-sheet liquidity. Price sits in the middle of the recent range, trend is roughly flat.

Descriptive observation — not investment advice.

Score breakdown

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

  • Value
    33/100

    Value looks weak — driven by P/E (24.4).

    P/E:24.4P/B:22.19PEG:1.66
  • Quality
    82/100

    Quality looks strong — driven by Gross margin (73.77%).

    ROE:33.91%ROA:4.89%Profit margin:31.08%Gross margin:73.77%
  • Momentum
    26/100

    Momentum looks fragile — driven by 52w change (-11.36%).

    52w change:-11.36%
  • Growth
    68/100

    Growth looks solid — driven by Earnings growth (138.50%).

    Revenue growth:4.70%Earnings growth:138.50%
  • Risk
    62/100

    Risk looks solid — driven by Debt / equity (438.72).

    Beta:0.89Debt / equity:438.72Short interest:1.74%
  • Dividend
    38/100

    Dividend looks weak — driven by Payout ratio (96.01%).

    Dividend yield:4.04%Payout ratio:96.01%
  • Liquidity
    0/100

    Liquidity looks fragile — driven by Current ratio (0.35).

    Current ratio:0.35Quick ratio:0.3

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

Price report

How this asset has actually moved over the last 253 days.

Position in range40%
160.06 low202.8 high

Where the price sits between the window low and high.

Volatility (annualised)
26.2%

Spread of returns. Higher means larger swings in both directions.

Max drawdown
-18.3%

Worst peak-to-trough fall inside the window.

Below period high
-12.7%

Current price against the highest point in the window.

Best day
+6.40%
Worst day
-4.10%
Up days
53%

Share of days that closed above the one before.

Current streak
1 up
Typical day swing
2.3%

Average high-to-low spread within a single day.

Volume vs average
-41%

Last 10 days against the whole window.

Descriptive statistics over past prices — not a forecast and 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.

Next level above
180.3798 USD+1.85%
Fib 38.2% retracement
Next level below
176.5 USD-0.34%
Fib 50% midpoint

Levels derived from: 192.94 high 160.06 low · 60 bars

  • Resistance
    Fib +161.8% extension
    not reached
    246.1399 USD
    +38.98% from current
  • Resistance
    Fib +100% extension
    not reached
    225.82 USD
    +27.51% from current
  • Resistance
    Fib +61.8% extension
    not reached
    213.2598 USD
    +20.42% from current
  • Resistance
    Fib +27.2% extension
    not reached
    201.8834 USD
    +13.99% from current
  • Resistance
    Fib 23.6% retracement
    tested 2×
    185.1803 USD
    +4.56% from current
  • Resistance
    Fib 38.2% retracement
    tested 3×
    180.3798 USD
    +1.85% from current
  • Current
    177.1 USD
  • Support
    Fib 50% midpointNearest
    tested 17×
    176.5 USD
    -0.34% from current
  • Support
    Fib 61.8% retracement
    tested 16×
    172.6202 USD
    -2.53% from current
  • Support
    Fib 78.6% retracement
    tested 10×
    167.0963 USD
    -5.65% from current
  • Support
    Fib −27.2% extension
    not reached
    151.1166 USD
    -14.67% from current
  • Support
    Fib −61.8% extension
    not reached
    139.7402 USD
    -21.10% from current
  • Support
    Fib −100% extension
    not reached
    127.18 USD
    -28.19% from current
How to read this

We take the highest and lowest price of the last 60 bars and cut the gap between them at the classic Fibonacci ratios (23.6%, 38.2%, 50%, 61.8%, 78.6%), plus extensions beyond both ends.

“Tested N×” counts how many of those 60 bars actually traded through the level. A level price has crossed many times is one the market has repeatedly agreed on; a level at 0 is pure geometry the price has never reached.

This is a map of where trading has already happened — not a forecast and not a signal. Price moves through these levels all the time.

Financials

52w high
$199.40
52w low
$160.06
52w change
-11.36%
Day high
$177.46
Day low
$174.89
P/E (TTM)
24.4
Forward P/E
25.27
PEG
1.66
Price / Book
22.19
Beta (5Y)
0.89
Enterprise value
130.32B
EV / Revenue
11.91
EV / EBITDA
18.5
EPS (TTM)
$7.26
Forward EPS
$7.01
Dividend yield
4.04%
Dividend rate
$6.98
Payout ratio
96.01%
Revenue (TTM)
10.94B
EBITDA
7.04B
Free cash flow
2.92B
Total cash
1.76B
Total debt
44.98B
Debt / Equity
438.72
Current ratio
0.35
Quick ratio
0.3
Profit margin
31.08%
Gross margin
73.77%
Return on assets
4.89%
Return on equity
33.91%
Shares outstanding
465.96M
Float
464.45M
Sector: Real EstateIndustry: REIT - SpecialtyHQ: United StatesEmployees: 4.87Kwww.americantower.com

American Tower Corporation one of the largest global REITs, is a leading independent owner, operator and developer of multitenant communications real estate with a portfolio of over 148,000 communications sites and a highly interconnected footprint of U.S. data center facilities. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Analyst & Risk

Consensus
Buy
Mean rating1.52 / 5
Analysts23
Next earnings2026-10-27
Strong buy 7Buy 15Hold 3
Analyst price target
$215.70
Mean target · 23 analysts
+21.8%
upside
Low $188.00Now $177.15High $260.00
Beta (vs S&P 500)
0.89
less volatile
52-week change
-11.36%
Short % of float
1.74%
Short ratio (days)
2.43
Debt / Equity
438.72
very high leverage
Current ratio
0.35
Quick ratio
0.3
ROE
33.91%
ROA
4.89%
PEG ratio
1.66
fair
EV / Revenue
11.91
EV / EBITDA
18.5
Revenue growth
4.70%
Earnings growth
138.50%
EBITDA
7.04B
Free cash flow
2.92B
Total cash
1.76B
Total debt
44.98B
Insider holdings
0.08%
Institutional
96.71%

Recent rating changes

  • 2026-08-20BarclaysEqual-WeightOverweightup
  • 2026-08-12Truist SecuritiesBuyBuyreit
  • 2026-07-29TD CowenBuyBuymain
  • 2026-07-29BMO CapitalMarket PerformMarket Performmain
  • 2026-07-09Wolfe ResearchPeer PerformOutperformup
  • 2026-06-26RBC CapitalSector PerformOutperformup
  • 2026-05-19BernsteinMarket PerformOutperformup
  • 2026-04-30RBC CapitalSector PerformSector Performreit

Recent news

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