stock · yahoo

Verizon Communications Inc.

VZ

$50.42
0.19 (0.39%)
polled · warming up

Below: live stock price for Verizon Communications Inc. (VZ), 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.

Verizon Communications Inc. (VZ) is a Communication Services company based in United States. Operating in Telecom Services, it employs about 97,600 people. Over the past year VZ traded between 38.39 and 51.68 USD. Trailing P/E sits near 13.16 on a market cap of about 209.46B USD. It currently yields 5.64% in dividends.

Day
+0.39%
+0.19
Week
+1.99%
+0.99
Month
+7.54%
+3.53
Year
+15.26%
+6.67
Prev close
$50.22
Volume (24h)
$190.86M
Market cap
$209.46B
Currency
USD

Score

45/ 100 · Mixed

Coverage: 7/7
  • Value80
  • Quality61
  • Momentum42
  • Growth18
  • Risk50
  • Dividend59
  • Liquidity4

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

Trend projection

Where the recent trend points if it continues.

UptrendFit 42%Pace +0.21% per bar
+5 bars+20 bars+60 bars+120 bars
+5 bars
50.8342
+0.83%
Bull61.8125
Bear41.8056
+20 bars
51.4183
+1.99%
Bull76.0254
Bear34.7757
+60 bars
51.646
+2.44%
Bull101.6743
Bear26.2339
+120 bars
51.6544
+2.46%
Bull134.6271
Bear19.819

Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0437 USD.

Interpretation

Composite signals look mixed. Strength: valuation with weakness: balance-sheet liquidity. Price sits near the upper third of the recent range, trend is sloping upward.

Descriptive observation — not investment advice.

Score breakdown

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

  • Value
    80/100

    Value looks strong — driven by P/E (13.16).

    P/E:13.16P/B:2.02PEG:0.89
  • Quality
    61/100

    Quality looks solid — driven by Gross margin (59.45%).

    ROE:15.84%ROA:5.05%Profit margin:11.64%Gross margin:59.45%
  • Momentum
    42/100

    Momentum looks weak — driven by 52w change (13.67%).

    52w change:13.67%
  • Growth
    18/100

    Growth looks fragile — driven by Earnings growth (-22.00%).

    Revenue growth:-0.70%Earnings growth:-22.00%
  • Risk
    50/100

    Risk looks mixed — driven by Debt / equity (184.08).

    Beta:0.24Debt / equity:184.08Short interest:1.84%
  • Dividend
    59/100

    Dividend looks mixed — driven by Payout ratio (72.79%).

    Dividend yield:5.64%Payout ratio:72.79%
  • Liquidity
    4/100

    Liquidity looks fragile — driven by Current ratio (0.6).

    Current ratio:0.6Quick ratio:0.46

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

Price report

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

Position in range90%
38.39 low51.68 high

Where the price sits between the window low and high.

Volatility (annualised)
25.1%

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
-2.4%

Current price against the highest point in the window.

Best day
+11.83%
Worst day
-5.24%
Up days
49%

Share of days that closed above the one before.

Current streak
1 up
Typical day swing
1.9%

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

Volume vs average
-28%

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
53.6962 USD+6.51%
Fib +27.2% extension
Next level below
48.5299 USD-3.74%
Fib 23.6% retracement

Levels derived from: 50.93 high 40.76 low · 60 bars

  • Resistance
    Fib +161.8% extension
    not reached
    67.3851 USD
    +33.66% from current
  • Resistance
    Fib +100% extension
    not reached
    61.1 USD
    +21.19% from current
  • Resistance
    Fib +61.8% extension
    not reached
    57.2151 USD
    +13.49% from current
  • Resistance
    Fib +27.2% extension
    not reached
    53.6962 USD
    +6.51% from current
  • Current
    50.415 USD
  • Support
    Fib 23.6% retracementNearest
    tested 5×
    48.5299 USD
    -3.74% from current
  • Support
    Fib 38.2% retracement
    tested 14×
    47.0451 USD
    -6.68% from current
  • Support
    Fib 50% midpoint
    tested 12×
    45.845 USD
    -9.06% from current
  • Support
    Fib 61.8% retracement
    tested 4×
    44.6449 USD
    -11.45% from current
  • Support
    Fib 78.6% retracement
    tested 9×
    42.9364 USD
    -14.83% from current
  • Support
    Fib −27.2% extension
    not reached
    37.9938 USD
    -24.64% from current
  • Support
    Fib −61.8% extension
    not reached
    34.4749 USD
    -31.62% from current
  • Support
    Fib −100% extension
    not reached
    30.59 USD
    -39.32% 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
$51.68
52w low
$38.39
52w change
13.67%
Day high
$50.76
Day low
$50.15
P/E (TTM)
13.16
Forward P/E
9.55
PEG
0.89
Price / Book
2.02
Beta (5Y)
0.24
Enterprise value
401.78B
EV / Revenue
2.89
EV / EBITDA
7.87
EPS (TTM)
$3.83
Forward EPS
$5.28
Dividend yield
5.64%
Dividend rate
$2.83
Payout ratio
72.79%
Revenue (TTM)
138.89B
EBITDA
51.08B
Free cash flow
17.47B
Total cash
1.8B
Total debt
193.65B
Debt / Equity
184.08
Current ratio
0.6
Quick ratio
0.46
Profit margin
11.64%
Gross margin
59.45%
Return on assets
5.05%
Return on equity
15.84%
Shares outstanding
4.15B
Float
4.15B
Sector: Communication ServicesIndustry: Telecom ServicesHQ: United StatesEmployees: 97.6Kwww.verizon.com

Verizon Communications Inc., through its subsidiaries, engages in the provision of communications, technology, information, and streaming products and services to consumers, businesses, and governmental entities worldwide. It operates in two segments, Verizon Consumer Group (Consumer) and Verizon Business Group (Business). The Consumer segment provides wireless services across the wireless networks in the United States under the Verizon and TracFone brands and through wholesale and other arrangements; and fixed wireless access (FWA) broadband through its wireless networks, as well as related equipment and devices, such as smartphones, tablets, smartwatches, and other wireless-enabled connected devices. The segment also offers wireline services in the Mid-Atlantic and Northeastern United States, as well as Washington D.C. through its fiber-optic network, Verizon Fios product portfolio, and a copper-based network. The Business segment provides wireless and wireline communications services and products, including FWA and wireline broadband, advanced communication services, corporate networking, security and managed network, local and long-distance voice, and network access services to deliver various IoT services and products to businesses, government customers, and wireless and wireline carriers in the United States and internationally. The company distributes its products and services through direct channels, company-operated stores, digital and omnichannel platforms, indirect agents, business solution resellers, and national retailers. The company was formerly known as Bell Atlantic Corporation and changed its name to Verizon Communications Inc. in June 2000. Verizon Communications Inc. was incorporated in 1983 and is headquartered in New York, New York.

Analyst & Risk

Consensus
Buy
Mean rating2.31 / 5
Analysts23
Next earnings2026-10-20
Strong buy 2Buy 8Hold 16
Analyst price target
$51.43
Mean target · 23 analysts
+2.0%
upside
Low $44.00Now $50.42High $71.00
Beta (vs S&P 500)
0.24
very stable
52-week change
13.67%
Short % of float
1.84%
Short ratio (days)
3.12
Debt / Equity
184.08
very high leverage
Current ratio
0.6
Quick ratio
0.46
ROE
15.84%
ROA
5.05%
PEG ratio
0.89
potentially undervalued
EV / Revenue
2.89
EV / EBITDA
7.87
Revenue growth
-0.70%
Earnings growth
-22.00%
EBITDA
51.08B
Free cash flow
17.47B
Total cash
1.8B
Total debt
193.65B
Insider holdings
0.05%
Institutional
71.25%

Recent rating changes

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