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Stockman Wealth Management Inc. Has $4.35 Million Position in Verizon Communications Inc. (NYSE:VZ)
Stockman Wealth Management Inc. Has $4.35 Million Position in Verizon Communications Inc. (NYSE:VZ)
Stockman Wealth Management Inc. grew its holdings in Verizon Communications Inc. (NYSE:VZ – Get Rating) by 12.7% during the third quarter, according to its most recent 13F filing with the Securities and Exchange Commission (SEC). The firm owned 114,658 shares of the cell phone carrier's stock after purchasing an additional 12,949 shares during the quarter. Stockman Wealth Management Inc.'s holdings in Verizon Communications were worth $4,354,000 as of its most recent filing with the Securities and Exchange Commission (SEC).
A number of other hedge funds and other institutional investors also recently made changes to their positions in VZ. Charles Schwab Investment Management Inc. increased its holdings in Verizon Communications by 5.2% during the 1st quarter. Charles Schwab Investment Management Inc. now owns 59,782,122 shares of the cell phone carrier's stock worth $3,045,303,000 after purchasing an additional 2,934,928 shares in the last quarter. FMR LLC grew its holdings in shares of Verizon Communications by 15.1% in the second quarter. FMR LLC now owns 46,131,882 shares of the cell phone carrier's stock valued at $2,341,192,000 after acquiring an additional 6,042,854 shares in the last quarter. Legal & General Group Plc grew its holdings in shares of Verizon Communications by 3.0% in the second quarter. Legal & General Group Plc now owns 31,576,105 shares of the cell phone carrier's stock valued at $1,602,490,000 after acquiring an additional 923,696 shares in the last quarter. Deutsche Bank AG grew its holdings in shares of Verizon Communications by 30.0% in the second quarter. Deutsche Bank AG now owns 18,763,481 shares of the cell phone carrier's stock valued at $952,245,000 after acquiring an additional 4,324,722 shares in the last quarter. Finally, Swiss National Bank grew its holdings in shares of Verizon Communications by 1.5% in the second quarter. Swiss National Bank now owns 18,209,501 shares of the cell phone carrier's stock valued at $924,132,000 after acquiring an additional 277,200 shares in the last quarter. 60.96% of the stock is owned by institutional investors and hedge funds.
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Analyst Upgrades and Downgrades
Several equities analysts have weighed in on VZ shares. Wells Fargo & Company reduced their price objective on Verizon Communications from $48.00 to $40.00 and set an "equal weight" rating for the company in a report on Friday, October 7th. Cowen reduced their price objective on Verizon Communications from $64.00 to $55.00 and set an "outperform" rating for the company in a report on Monday, October 24th. StockNews.com raised Verizon Communications from a "hold" rating to a "buy" rating in a report on Thursday, October 13th. Finally, Credit Suisse Group reduced their price objective on Verizon Communications to $43.00 in a report on Thursday, October 27th. One investment analyst has rated the stock with a sell rating, thirteen have assigned a hold rating and six have issued a buy rating to the company's stock. Based on data from MarketBeat.com, the stock currently has an average rating of "Hold" and an average target price of $47.63.
Verizon Communications Price Performance
VZ traded up $0.31 during trading on Friday, reaching $40.58. The stock had a trading volume of 6,745,292 shares, compared to its average volume of 23,880,422. The stock has a market cap of $170.43 billion, a PE ratio of 7.91, a PEG ratio of 2.07 and a beta of 0.37. The company has a debt-to-equity ratio of 1.52, a quick ratio of 0.69 and a current ratio of 0.75. Verizon Communications Inc. has a one year low of $32.76 and a one year high of $55.51. The business has a 50-day moving average of $39.18 and a 200-day moving average of $40.71.
Verizon Communications (NYSE:VZ – Get Rating) last released its earnings results on Tuesday, January 24th. The cell phone carrier reported $1.19 EPS for the quarter, missing analysts' consensus estimates of $1.20 by ($0.01). The firm had revenue of $35.30 billion during the quarter, compared to the consensus estimate of $35.14 billion. Verizon Communications had a net margin of 15.53% and a return on equity of 24.60%. The firm's revenue was up 3.5% compared to the same quarter last year. During the same period in the prior year, the company earned $1.31 EPS. As a group, equities research analysts anticipate that Verizon Communications Inc. will post 4.7 EPS for the current fiscal year.
Verizon Communications Announces Dividend
The business also recently disclosed a quarterly dividend, which will be paid on Wednesday, February 1st. Stockholders of record on Tuesday, January 10th will be paid a dividend of $0.6525 per share. The ex-dividend date of this dividend is Monday, January 9th. This represents a $2.61 dividend on an annualized basis and a dividend yield of 6.43%. Verizon Communications's dividend payout ratio (DPR) is currently 51.58%.
Verizon Communications Company Profile
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Verizon Communications Inc, through its subsidiaries, offers communications, technology, information, and entertainment products and services to consumers, businesses, and governmental entities worldwide. Its Consumer segment provides postpaid and prepaid service plans; internet access on notebook computers and tablets; wireless equipment, including smartphones and other handsets; and wireless-enabled internet devices, such as tablets, and other wireless-enabled connected devices comprising smart watches.
據Stockman Wealth Management Inc.最近向美國證券交易委員會(SEC)提交的13F文件顯示,第三季度其在Verizon Communications Inc.(NYSE:VZ )的持股增加了12.7%。該公司在本季度額外購買了12,949股後,擁有114,658股這家手機運營商的股票。截至最近提交給美國證券交易委員會(Securities and Exchange Commission,美國證券交易委員會)的文件,斯托克曼財富管理公司持有的威瑞森通信股份價值4,354,000美元。
其他一些對沖基金和其他機構投資者最近也調整了他們在VZ的頭寸。嘉信理財第一季度增持Verizon Communications股份5.2%。嘉信理財投資管理公司(Charles Schwab Investment Management Inc.)目前持有這家手機運營商59,782,122股股票,價值3,045,303,000美元,上一季度又購買了2,934,928股。FMR LLC在第二季度增持了15.1%的Verizon Communications股票。FMR LLC現在擁有46,131,882股這家手機運營商的股票,價值2,341,192,000美元,上個季度又收購了6,042,854股。Legal&General Group Plc在第二季度增持了3.0%的Verizon Communications股票。Legal&General Group Plc現在持有這家手機運營商31,576,105股票,價值1,602,490,000美元,上個季度又收購了923,696股票。德意志銀行(Deutsche Bank AG)第二季度持有的Verizon Communications股票增加了30.0%。德意志銀行(Deutsche Bank AG)目前持有這家手機運營商18,763,481股股票,價值952,245,000美元,上個季度又收購了4,324,722股。最後,瑞士國家銀行在第二季度增持了Verizon Communications的股票1.5%。瑞士國家銀行現在擁有18,209,501股這家手機運營商的股票,價值924,132,000美元,上個季度又購買了277,200股。60.96%的股票由機構投資者和對沖基金持有。
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分析師升級和下調評級
幾位股票分析師對VZ的股票進行了分析。富國銀行將Verizon Communications的目標價從48.00美元下調至40.00美元,並在10月7日(星期五)的一份報告中爲該公司設定了“同等權重”評級。考恩在10月24日週一的一份報告中將其對Verizon Communications的目標價從64.00美元下調至55.00美元,併爲該公司設定了“跑贏大盤”的評級。在10月13日週四的一份報告中,StockNews.com將Verizon Communications的評級從持有上調至買入。最後,瑞士信貸集團在10月27日星期四的一份報告中將其對Verizon Communications的目標價下調至43.00美元。一名投資分析師對該股的評級爲賣出,13名分析師給予持有評級,6名分析師對該公司股票給予買入評級。根據MarketBeat.com的數據,該股目前的平均評級爲持有,平均目標價爲47.63美元。
Verizon Communications性價比
VZ在週五的交易中上漲了0.31美元,達到40.58美元。該股成交量爲6,745,292股,而其平均成交量爲23,880,422股。該股市值爲1,704.3億美元,市盈率爲7.91倍,市盈率爲2.07倍,貝塔係數爲0.37。該公司的負債權益比爲1.52,速動比率爲0.69,流動比率爲0.75。Verizon Communications Inc.的一年低點爲32.76美元,一年高位爲55.51美元。該業務的50日移動均線切入位在39.18美元,200日移動均線切入位在40.71美元。
Verizon Communications(NYSE:VZ-GET Rating)最近一次發佈收益報告是在1月24日星期二。這家手機運營商公佈本季度每股收益爲1.19美元,低於分析師普遍預期的1.20美元(合0.01美元)。該公司本季度營收爲353億美元,而市場普遍預期爲351.4億美元。Verizon Communications的淨利潤率爲15.53%,股本回報率爲24.60%。與去年同期相比,該公司的收入增長了3.5%。去年同期,該公司每股收益爲1.31美元。作爲一個整體,股票研究分析師預計,Verizon Communications Inc.本財年每股收益將達到4.7美元。
Verizon Communications宣佈分紅
該公司最近還披露了季度股息,將於2月1日(星期三)支付。1月10日(星期二)登記在冊的股東將獲得每股0.6525美元的股息。本次股息除息日期爲1月9日(星期一)。這意味着年化股息爲2.61美元,股息收益率爲6.43%。威瑞森通訊的派息比率(DPR)目前爲51.58%。
Verizon Communications公司簡介
(獲取評級)
Verizon通過其子公司向全球消費者、企業和政府實體提供通信、技術、信息和娛樂產品和服務。其消費者部門提供後付費和預付費服務計劃;筆記本電腦和平板電腦上的互聯網接入;無線設備,包括智能手機和其他手機;以及支持無線的互聯網設備,如平板電腦,以及其他支持無線連接的設備,包括智能手錶。
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在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
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moomoo是Moomoo Technologies Inc.公司提供的金融資訊和交易應用程式。
在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
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