
AT&T Inc. (T)
$
25.82
-0.04 (-0.15%)
Key metrics
Financial statements
Free cash flow per share
2.7887
Market cap
183 Billion
Price to sales ratio
1.4705
Debt to equity
1.4316
Current ratio
1.0130
Income quality
1.7555
Average inventory
2.6 Billion
ROE
0.2098
Technology
Technology – consumer electronics
Largecap
With a market cap of 121,78 bil stock is ranked 1
Low risk
ISS score of this stock is ranked 1
Company description
Profile
The financial data pertains to the fiscal year 2024. AT&T Inc., known for its extensive telecommunications, media, and technology services, reported a gross profit of $52,535,000,000.00 highlighting the company's profitability from core operations. The operating expenses amount to $28,274,000,000.00 encompassing various operational costs incurred. Additionally, the company reported selling, general, and administrative expenses of $27,319,000,000.00 indicating its operational overhead costs. The income before tax ratio is 0.14 reflecting the pre-tax margin. Its Communications segment provides wireless voice and data communications services, selling various devices through company-owned stores and third-party retail outlets. It also offers a range of services including broadband fiber and legacy telephony voice communication services to residential customers, alongside solutions for businesses and governmental entities. In Latin America, the company provides wireless and video services, marketed under the AT&T and Unefon brand names. Established in 1983 and headquartered in Dallas, Texas, AT&T Inc. was formerly known as SBC Communications Inc. before its rebranding in 2005. The stock is affordable at $29.01 suitable for budget-conscious investors, and has a high average trading volume of 48,324,995.00 indicating strong liquidity in the market. With a large market capitalization of $183,049,585,961.00 the company is a dominant player in the Telecommunications Services industry, contributing significantly to the overall market landscape. It belongs to the Communication Services sector, driving innovation and growth. This positioning allows AT&T Inc. to maintain its status as a key player, continually adapting to the evolving needs of its customers while delivering a range of essential services across various segments.
Investing in AT&T Inc. (T) depends on multiple factors, including revenue growth, profit margins, debt-to-equity ratio, earnings per share, and return on equity. Analysts have rated it as A-, with a Bullish outlook. Always conduct your own research before investing.
Analysts predict AT&T Inc. stock to fluctuate between $21.38 (low) and $29.79 (high) in the next 365 days, reflecting market expectations and potential volatility.
As of 2025-11-26, AT&T Inc.'s market cap is $183,049,585,961, based on 7,089,449,495 outstanding shares.
Compared to T-Mobile US, Inc., AT&T Inc. has a Lower Market-Cap, indicating a difference in performance.
AT&T Inc. pays dividends. The current dividend yield is 4.29%, with a payout of $0.28 per share.
To buy AT&T Inc. (T) stock: Open a brokerage account (e.g., Robinhood, TD Ameritrade, E-Trade). Search for T. Place an order (Market, Limit, etc.).
The best time to invest depends on market trends and technical indicators, which show a Bullish trend based on economic conditions and company performance.
AT&T Inc.'s last stock split was 331:250 on 2022-04-11.
Revenue: $122,336,000,000 | EPS: $1.49 | Growth: -24.37%.
Visit https://www.att.com/investor-relations for detailed financial reports.
You can explore historical data from here
All-time high: $29.79 (2025-09-05) | All-time low: $13.43 (2023-07-18).
Key trends include market demand, economic conditions, interest rates, and industry competition, which influence the stock's performance.
News

seekingalpha.com
AT&T remains a buy after its Q3 2025 earnings, supported by robust free cash flow and improved capital allocation flexibility. T's strong free cash flow guidance and conservative payout ratios suggest room for future dividend growth and continued share repurchases. A buyback yield of 2.58%, a rare case among its telecom peers, further enhances T's shareholder returns.

prnewswire.com
DALLAS , Nov. 26, 2025 /PRNewswire/ -- The survey highlights both the opportunities and challenges facing small business owners this season. Key Takeaways: Small businesses are uniquely positioned to attract holiday shoppers seeking distinctive gifts and personal service.

seekingalpha.com
AT&T remains a "Strong Buy" despite recent share price underperformance, with robust business growth and undervalued shares presenting an attractive entry point. T's Mobility and fiber broadband segments are driving revenue growth, offsetting declines in legacy Business Wireline operations. Management targets annualized EBITDA growth of 3%+, aggressive cost cuts, and continued capital investments, supporting long-term profitability.

zacks.com
AT&T (T) reported earnings 30 days ago. What's next for the stock?

cnet.com
The spectrum licenses from EchoStar significantly increase the 5G capacity for AT&T subscribers.

zacks.com
T expands its small-business portfolio with 5G, fiber and new tools, aiming to tap rising demand for faster, more reliable connectivity.

marketwatch.com
AT&T is the only wireless player with “a clear strategic direction,” according to KeyBanc

barrons.com
Shares in the wireless carrier have slipped 11% over the past three months, but that's a good buying opportunity, according to KeyBanc.

seekingalpha.com
AT&T highlighted acquisitions and growth. T's recent deals, including the EchoStar acquisition, temporarily slow debt progress. Legacy business decline continues to materially offset new business growth.

247wallst.com
If you're comfortable with bottom-fishing (or even catching falling knives) to get a high-yielding dividend stock alongside outsized turnaround potential, there are plenty of names that have fallen well below the $20 per-share mark to consider nibbling away at in the fourth quarter.
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