not a good looking chart. broke the uptrend on a rising wedge Mon the 6th on heavy volume and a 5% down day. Huge for this stock. She's going down y'all
Verizon Communications Inc Shs Cert Deposito Arg Repr 0.25 Sh forum
๏ปฟ๐ต Price: $44.24 (last close)
๐ 52-Week Range: $37.59 โ $47.36
๐ธ Dividend Yield: 6.13% (forward annual)
๐ฐ๐ Investor Sentiment Outlook
๐ Fear & Greed Index: 64/100 (Greed)
๐ Market Momentum: Positive (S&P 500 > 125-day MA)
โ๏ธ Options Activity: Neutral-to-bearish hedging (Put/Call ratio)
๐ก๏ธ Volatility: Low VIX โ stable conditions
๐ฆ Retail & Institutional Sentiment:
๐ข Institutional ownership: 68.01%
๐ Insider activity: Net selling (13 sales vs. 0 buys in 6 months)
๐๏ธ Congressional trades: Net selling (3 sales vs. 1 buy)
๐ Fundamental & Macro Score Points
๐น Valuation:
๐ P/E Ratio: 10.29 (below industry avg.)
โ๏ธ PEG Ratio: 2.14 (slightly overvalued vs. growth)
๐ Debt/Equity: 167.44% (high leverage)
๐ฐ Financial Health:
๐ฆ Profit Margin: 13.28%
๐ Revenue Growth (YoY): +5.2% (Q2 2025)
๐ต Free Cash Flow: $17.95B (TTM)
๐ Macro Factors:
๐ฆ Low Treasury yields โ moderate safe-haven demand
๐ Junk bond spreads โ risk-on appetite
๐๐ป Overall Market Outlook
โ Bullish (Long) Case:
๐ก Strong wireless revenue growth (+2.2% YoY)
๐ Broadband expansion on track
๐ Raised 2025 EBITDA & FCF guidance
๐ Technicals: 10-day MA > 50-day MA (bullish signal)
โ ๏ธ Bearish (Short) Risks:
๐ Consumer operating margin decline (28.7% vs. 30.5% YoY)
๐ฑ Postpaid phone churn โ to 0.90%
๐ฆ Heavy debt burden may pressure dividends
๐ฏ Summary Sentiment Scores
๐ฅ Retail Sentiment: Neutral (mixed signals)
๐ข Institutional Sentiment: Cautiously optimistic
๐ Market Outlook: Mildly Bullish (60/100)
Supported by fundamentals, but debt remains a concern.
i've been rocking with them since $12.
I used to be a Sr.Account Executive for one of the top 3 providers for more than a decade and I can tell you this company not only resolves issues for the end user but also resolves major issues for providers the ROI for
Also, having leaders not in the news and more behind the scene is a positive for stability and growth. I will be scaling my stake in this company but slowly due to macro.
i see this company reaching $300B Market Cap or $5K+ per share in the next 10 years.