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VZ · Verizon Communications

S&P 500 #60 · NYSE

Risiko 3/10 · High-yield defensive — income stock · $48.19 ▲ 1.84%

Kennzahlen

  • Price $48.19
  • Market cap $201.2B
  • P/E (ttm) 12.55
  • Div yield 5.98%
  • 52-wk range $38.39 – $51.68
  • Index rank #60 / —

Wichtigste Risiken

  • High debt load (~$140B) (Balance sheet flexibility / credit rating) — MED
  • Competition from T-Mobile / AT&T (Postpaid subscriber growth) — MED
  • Dividend sustainability if FCF softens (Income-focused shareholders) — LOW
  • 5G ROI timeline uncertainty (Capital allocation efficiency) — LOW

Fazit

Verizon offers one of the highest yields among S&P 500 blue chips (~6%), making it a defensive income holding, though heavy spectrum debt and T-Mobile competition cap near-term upside.

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⚠️ Independent research for a video, not financial advice. Figures from public sources/aggregators, can be stale; risk scores are editorial estimates. Verify before relying on any of it.