
Verizon Communications Inc. (VZ)
$
40.9
+0.68 (1.66%)
Key metrics
Financial statements
Free cash flow per share
7.8647
Market cap
175.8 Billion
Price to sales ratio
1.2785
Debt to equity
1.6227
Current ratio
0.7389
Income quality
1.8968
Average inventory
2.4 Billion
ROE
0.1944
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
Verizon Communications Inc., through its subsidiaries, provides a wide range of communications, technology, information, and entertainment services to consumers, businesses, and government entities globally. The company incurred an interest expense of $6,653,000,000.00 reflecting its debt servicing obligations. Furthermore, the net income ratio is 0.13 showcasing the company's profitability margin. As of December 31, 2021, Verizon achieved a significant net income of $17,506,000,000.00 demonstrating its robust financial health. Additionally, it recorded an operating income of $30,604,000,000.00 which reflects the earnings derived from its core operations. However, the operating expenses amount to $32,195,000,000.00 encompassing various operational costs incurred in delivering its extensive service offerings. The Consumer segment includes both postpaid and prepaid service plans, internet access for mobile computing devices, and wireless-enabled internet devices such as smartphones, tablets, and smartwatches. With around 115 million wireless retail connections, 7 million wireline broadband connections, and 4 million Fios video connections, the company has established a strong market presence. The Business segment provides a comprehensive suite of services, including private networking, cloud connectivity, and unified communications tools, serving approximately 27 million wireless retail postpaid connections and 477 thousand wireline broadband connections. In this competitive landscape, Verizon's stock is affordable at $43.48 making it suitable for budget-conscious investors. The stock also boasts a high average trading volume of 27,386,101.00 indicating strong liquidity within the market. With a large market capitalization of $172,451,802,500.00 the company emerges as a dominant player in the telecommunications sector. It is a key player in the Telecommunications Services industry, significantly contributing to the overall market landscape and driving innovation and growth within the Communication Services sector. As Verizon continues to evolve, it remains dedicated to providing cutting-edge services and solutions that meet the needs of its diverse clientele.
Analysts predict Verizon Communications Inc. stock to fluctuate between $37.59 (low) and $47.36 (high) in the next 365 days, reflecting market expectations and potential volatility.
As of 2025-12-12, Verizon Communications Inc.'s market cap is $172,451,802,500, based on 4,216,425,489 outstanding shares.
Compared to T-Mobile US, Inc., Verizon Communications Inc. has a Lower Market-Cap, indicating a difference in performance.
To buy Verizon Communications Inc. (VZ) stock: Open a brokerage account (e.g., Robinhood, TD Ameritrade, E-Trade). Search for VZ. Place an order (Market, Limit, etc.).
The best time to invest depends on market trends and technical indicators, which show a Bearish trend based on economic conditions and company performance.
Revenue: $134,788,000,000 | EPS: $4.15 | Growth: 50.36%.
Visit https://www.verizon.com/investor-relations for detailed financial reports.
You can explore historical data from here
All-time high: $56.20 (2021-08-17) | All-time low: $30.14 (2023-10-06).
Key trends include market demand, economic conditions, interest rates, and industry competition, which influence the stock's performance.
News

zacks.com
Verizon Communications (VZ) closed the most recent trading day at $40.89, moving +1.67% from the previous trading session.

zacks.com
VZ's Wi-Fi 6E upgrade at Empower Field boosts fan connectivity with 2,400 new access points and a faster, safer stadium network.

defenseworld.net
Ariel Investments LLC lessened its holdings in Verizon Communications Inc. (NYSE: VZ) by 17.8% during the second quarter, according to its most recent 13F filing with the Securities and Exchange Commission (SEC). The fund owned 1,171,161 shares of the cell phone carrier's stock after selling 254,046 shares during the period. Ariel Investments LLC's

zacks.com
Verizon Communications (VZ) reached $41.26 at the closing of the latest trading day, reflecting a +1.45% change compared to its last close.

globenewswire.com
NEW YORK, Dec. 04, 2025 (GLOBE NEWSWIRE) -- The Board of Directors at Verizon Communications Inc. (NYSE, Nasdaq: VZ) today declared a quarterly dividend of 69 cents per outstanding share, consistent with the prior quarter's dividend rate. The quarterly dividend is payable on February 2, 2026 to Verizon shareholders of record at the close of business on January 12, 2026.

seekingalpha.com
Verizon (VZ) remains a Buy, offering a 20% upside to a $49 price target, plus a 6.75% dividend yield. VZ trades at a forward P/E of 9, a 75% discount to peers, despite steady top and bottom-line growth and improving free cash flow. FQ3 2025 results showed 1.47% revenue growth, 2% EPS growth, and continued leverage reduction, supporting the undervaluation thesis.

seekingalpha.com
Verizon is rated Strong Buy, driven by turnaround potential, robust cash flows, and a sustainable ~6.7% dividend yield. VZ's new CEO, Dan Schulman, is implementing cost-saving initiatives, major layoffs, and a renewed focus on customer experience and growth. Interest rate cuts, debt management, and recent acquisitions like Frontier and Starry are key catalysts for VZ's long-term value creation.

zacks.com
Verizon slips 6.1% in six months as competitive pressure, high churn and heavy promo spending weigh on performance.

seekingalpha.com
Verizon Communications remains a value trap, with persistent underperformance versus major U.S. equity indexes and limited returns beyond cash alternatives since 2016. Despite a solid 6.7% dividend yield and modest debt improvement, VZ faces stagnant earnings and uninspiring growth prospects, justifying a Sell/Avoid rating for the next 12 months. Technical momentum has turned negative since the summer, with weak relative strength vs. the overall stock market and price action below key moving averages, suggesting further downside risk.

seekingalpha.com
Verizon presents a deep value opportunity with a forward P/E of 8.5x and a significant margin of safety, justifying a buy rating. Despite near-zero topline growth and competitive pressures, VZ's structural moat, premium brand, and new turnaround initiatives support optimism. Management's cost-cutting and efficiency plans are expected to positively impact margins, even if revenue growth remains flat.
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