Verizon Communications 대차대조표 건전성
재무 건전성 기준 점검 3/6
Verizon Communications 의 총 주주 지분은 $104.6B 이고 총 부채는 $174.3B, 이는 부채 대 자기자본 비율을 166.6% 로 가져옵니다. 총자산과 총부채는 각각 $417.9B 및 $313.3B 입니다. Verizon Communications 의 EBIT는 $32.4B 이며 이자보상배율은 4.9 입니다. $8.4B 의 현금 및 단기 투자금을 보유하고 있습니다.
핵심 정보
166.57%
부채/자본 비율
US$174.26b
부채
| 이자보상배율 | 4.9x |
| 현금 | US$8.40b |
| 자본 | US$104.62b |
| 총부채 | US$313.26b |
| 총자산 | US$417.88b |
최근 재무 건전성 업데이트
Recent updates
VZ: Convergence Execution And Customer Offers Will Drive Future Cash Flow
Verizon Communications' analyst price target has been nudged higher to about $51.90, reflecting modestly improved valuation as analysts weigh a slightly lower discount rate against ongoing execution questions and mixed sector views from recent research coverage. Analyst Commentary Recent Street research on Verizon Communications points to a mixed setup, with some analysts highlighting improving earnings quality and others focusing on slower growth relative to peers and execution risk around convergence.Verizon Communications (VZ) Stock Could Be 7.5% Undervalued After New Consumer Plan Push
Verizon Communications (VZ) has made a series of consumer focused changes, including new Simplicity Plans that scrap activation and upgrade fees, a cashback loyalty program, and bundled mobility plus home services under unified billing. See our latest analysis for Verizon Communications. Against this backdrop of new consumer offerings, Verizon Communications shares trade at US$46.73, with a 7 day share price return of 2.08% but a 90 day share price return that is down 5.77%. Over a longer...Verizon: A Good Defensive Play In Times Of Market Exuberance
Summary Verizon's stock is showing some signs of resiliency in recent months as other telecom carriers experience downward pressure. In spite of the stock's poor performance during the last bear market in equities, VZ remains a solid defensive play. However, there are some caveats when it comes to future profitability improvements, and investors should be mindful of that. The dividend offers yet another reason to hold VZ, as the 6% yield does not appear to be at any immediate risk. Read the full article on Seeking AlphaVZ: Cost Cuts And Subscriber Trends Will Balance Satellite And Disclosure Risks
Analysts have nudged Verizon Communications' consensus price target higher by $3 to $54, reflecting mixed research that cites ongoing cost reduction efforts and subscriber trends, even as some firms flag slower growth versus peers and concerns about the company's updated disclosures. Analyst Commentary Recent research on Verizon highlights a split view, with some analysts focusing on cost execution and subscriber trends, while others focus on relative growth and disclosure quality.VZ: Cost Actions And Mixed Sentiment Will Shape Future Earnings Quality
Analysts have nudged the Verizon Communications price target higher to about $51.85 from $51.58. This reflects slightly lower assumed risk, modestly softer revenue growth expectations, a small uplift in projected profit margins, and a reduced future P/E multiple informed by recent research that includes both target raises and a few downgrades.Verizon worth to invest in
I was looking for a large-cap company for diversification in my portfolio that has the strength to grow in the coming years. Furthermore, the debt-to-equity ratio must remain responsible or under control.VZ: Cost Cuts And Cash Efficiency Will Support Higher Future Earnings Quality
The updated analyst price target for Verizon Communications edges higher to $51.58, with analysts pointing to steady assumptions for revenue growth, a slightly firmer profit margin, and a modestly higher future P/E multiple as key supports for the change. Analyst Commentary Recent research on Verizon Communications shows a mix of optimism around cost execution and cash efficiency, alongside ongoing concerns about transparency and competitive positioning.VZ: Fair Value View Will Balance Cost Cuts And Disclosure Concerns
Verizon Communications' analyst price target inches up by about $0.40 to $51.17 as analysts balance recent upgrades and price target increases with concerns about disclosure clarity and competitive pressures in wireless and broadband. Analyst Commentary Recent research on Verizon shows a split view, with several firms raising price targets or upgrading ratings while others highlight disclosure issues and competitive challenges that could affect how reliably investors can assess execution and future growth.VZ: Fair Value View Will Balance Cost Cuts And Disclosure Concerns
Narrative Update Overview The analyst price target for Verizon Communications has been adjusted by about $0.77 to $50.76 as analysts weigh recent upward target revisions tied to cost reduction efforts and subscriber trends, against concerns about less transparent financial disclosures. Analyst Commentary Recent research on Verizon Communications reflects a mixed but generally constructive tone, with several firms lifting price targets while at least one calls out concerns around disclosure quality and financial transparency.VZ: Fair Value View Will Reflect Cost Cuts And Execution Risks
Narrative Update: Verizon Communications The analyst price target for Verizon Communications edges higher to approximately $50.00, up by a small fraction. Analysts point to firming trends in subscriber additions, cost efficiencies and broadband growth, which are reflected in a slightly higher fair value estimate and a modestly higher assumed future P/E of about 12x.VZ: Fair Value View Will Reflect Leadership Shifts And Mixed Execution Risks
The updated analyst price target for Verizon Communications edges higher to about $49.80, reflecting a modest shift in models as analysts factor in a slightly lower discount rate while keeping revenue growth, profit margin and future P/E assumptions broadly consistent. Analyst Commentary Recent Street research on Verizon Communications has been active, with several firms adjusting their price targets both higher and lower as they refine models ahead of upcoming results.Verizon Communications Inc. (NYSE:VZ) Stock Rockets 26% But Many Are Still Ignoring The Company
Verizon Communications Inc. ( NYSE:VZ ) shares have had a really impressive month, gaining 26% after a shaky period...Verizon Communications (NYSE:VZ) Is Increasing Its Dividend To $0.7075
Verizon Communications Inc. ( NYSE:VZ ) will increase its dividend from last year's comparable payment on the 1st of...VZ: New CEO And Cost Cuts Will Support Mixed Execution Outlook
Analysts have nudged their price target for Verizon Communications higher to about $49.34 from $47.11. They state that this reflects updated views that slightly higher revenue growth, modestly stronger profit margins and a lower required return better capture the stock's risk and earnings profile.Fiber Expansion And AI Ambitions Will Strain Margins And Limit Upside
Catalysts About Verizon Communications Verizon Communications is a large US telecommunications company that provides wireless, broadband and related services to consumer, business and public sector customers. What are the underlying business or industry changes driving this perspective?VZ: New CEO And Cost Cuts Will Support Cash Flow Restructuring
Narrative Update: Verizon Communications Analyst Price Target Shift The analyst price target for Verizon Communications has been trimmed by about US$0.48 per share, reflecting recent price target reductions from several firms and slightly more cautious assumptions around the discount rate, revenue growth, profit margin, and future P/E. Analysts link these changes to execution risk during restructuring and competitive holiday promotions.VZ: New CEO And Cost Cuts Will Support Wireless Turnaround
Analysts now see Verizon's fair value edging up by about $0.12 to roughly $47.60, reflecting updated views on revenue growth, profit margins and P/E assumptions after recent price target revisions around sector promotions, execution risk and competitive pressure. Analyst Commentary Recent Street research on Verizon highlights a mix of cautious valuation resets and steady confidence in the underlying wireless profit pool, with firms adjusting their models ahead of upcoming results and in light of recent promotional activity and restructuring plans.VZ: Leadership Shift And Cost Cuts Will Drive Wireless Turnaround
Verizon Communications' fair value estimate has been nudged slightly lower to approximately $47.48 per share, as analysts modestly increase the discount rate and factor in execution risk around restructuring and the CEO transition, even as they acknowledge better-than-feared recent results and a supportive sector backdrop. Analyst Commentary Recent Street research reflects a mixed but generally constructive view on Verizon, with modest target changes around the mid 40s to low 50s per share and a focus on execution through the upcoming restructuring and CEO transition.VZ: Future Leadership and Cost Reductions Will Drive Competitive Strength
Verizon Communications' analyst price target has been lowered from $49 to $45 as analysts cite moderate improvements in postpaid metrics. However, they also point to execution risks tied to restructuring and ongoing competitive pressures.VZ: Future Restructuring Will Drive Transformation and Expand Wireless Market Opportunities
Verizon Communications’ average analyst price target has decreased from $49 to $45. Analysts attribute this modest decline to execution risks amid restructuring efforts and evolving competitive strategies in the wireless market.VZ: Wireless Spectrum Deal And Incoming CEO Will Drive Future Market Position
Verizon Communications' analyst price target has been reduced from $48.61 to $47.53 per share. Analysts cite ongoing execution risks, leadership transition uncertainty, and modestly lower growth expectations for the company.Verizon Communications' (NYSE:VZ) Dividend Will Be Increased To $0.69
The board of Verizon Communications Inc. ( NYSE:VZ ) has announced that it will be increasing its dividend by 1.8% on...Verizon Communications' (NYSE:VZ) Dividend Will Be Increased To $0.69
Verizon Communications Inc. ( NYSE:VZ ) will increase its dividend on the 3rd of November to $0.69, which is 1.8...Verizon: Increasing Cash Flow Makes It A Bargain
Summary Verizon's revenue grew, but customer base declined; impressive $50 billion annualized EBITDA and $4 billion quarterly FCF highlight strong financials despite market challenges. Verizon's postpaid phone subscriptions saw business growth but consumer decline; fixed wireless access grows, but lacks AT&T's fiber business potential. VZ offers free phone trade-ins, satellite text messaging, and 3-year price lock to retain customers, impacting margins due to competition. Verizon's FCF yield is 8.5%, covering a 6.5% dividend; debt reduced by $10 billion YoY, but high interest rates remain a concern. Read the full article on Seeking AlphaWhy Verizon's Q1 2025 Outperformance Is The Last Hurrah
Summary Despite Verizon's Q1 2025 earnings outperformance, a deeper dive into the drivers shows its vulnerability to impending weakness. The upcoming tariff uncertainties are poised to impact Verizon's capital-intensive and consumer-centric business, raising execution risks to its already modest growth outlook. The added weight of AI investments amidst growing demand uncertainties also risks straining its balance sheet and upending its dividend sustainability. VZ stock's inherent sensitivity to Treasury yields amid a volatile macro backdrop could further contradict its income-focused investor base's demand for stability. Read the full article on Seeking AlphaVerizon Q1 Preview: Defensive Play With A Solid Dividend, But Don't Rush The Entry
Summary Verizon Communications Inc. is a defensive, dividend-focused stock, ideal for stability and income, not growth, with a 6.1% yield and consistent performance. The company outperformed in Q4 2024, meeting or exceeding targets, with strong broadband and wireless growth, and significant debt reduction. Despite cautious analyst forecasts for Q1 2025, Evercore ISI upgraded Verizon, citing underestimated broadband strategy and solid subscriber trends. VZ stock trades at a significant discount to the sector, making it attractive for income-focused investors seeking stability and steady cash flow. Read the full article on Seeking AlphaVerizon: The Warning Signs Are Starting To Appear (Downgrade)
Summary Verizon Communications Inc. is reportedly facing more intense headwinds, potentially impacting churn metrics and postpaid phone net adds. Downside risks to its 2025 guidance could temper optimism in VZ, although its solid dividend yield should temper adverse sentiments. Increased economic uncertainties could affect its ability to shift consumers to higher value plans, suggesting a need to compete more aggressively on pricing. VZ offers a confident forward yield of 6%, but unanticipated surprises and a perceived lack of margin of safety could impact its momentum. I argue why investors should no longer ignore the warning signs brewing and consider allowing more time to assess the damage first. Read the full article on Seeking Alpha재무 상태 분석
단기부채: VZ 의 단기 자산 ( $44.7B )은 단기 부채( $69.9B ).
장기 부채: VZ의 단기 자산($44.7B)이 장기 부채($243.4B)를 충당하지 못합니다.
부채/자본 비율 추이 및 분석
부채 수준: VZ 의 순부채 대 자기자본 비율( 158.5% )은 높음으로 간주됩니다.
부채 감소: VZ의 부채 대비 자본 비율은 지난 5년 동안 217.5%에서 166.6%로 감소했습니다.
부채 범위: VZ 의 부채는 영업 현금 흐름 ( 21.4% )에 의해 잘 충당되었습니다.
이자 보장: VZ 의 부채에 대한 이자 지급은 EBIT(4.9x 적용 범위)로 잘 충당됩니다.
대차대조표
건전한 기업 찾아보기
기업 분석 및 재무 데이터 상태
| 데이터 | 최종 업데이트 (UTC 시간) |
|---|---|
| 기업 분석 | 2026/06/25 15:40 |
| 종가 | 2026/06/25 00:00 |
| 수익 | 2026/03/31 |
| 연간 수익 | 2025/12/31 |
데이터 소스
당사의 기업 분석에 사용되는 데이터는 S&P Global Market Intelligence LLC에서 제공됩니다. 아래 데이터는 이 보고서를 생성하기 위해 분석 모델에서 사용됩니다. 데이터는 정규화되므로 소스가 제공된 후 지연이 발생할 수 있습니다.
| 패키지 | 데이터 | 기간 | 미국 소스 예시 * |
|---|---|---|---|
| 기업 재무제표 | 10년 |
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| 분석가 컨센서스 추정치 | +3년 |
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| 시장 가격 | 30년 |
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| 지분 구조 | 10년 |
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| 경영진 | 10년 |
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| 주요 개발 | 10년 |
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* 미국 증권에 대한 예시이며, 비(非)미국 증권에는 해당 국가의 규제 서식 및 자료원을 사용합니다.
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산업 및 섹터 지표
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분석가 소스
Verizon Communications Inc.는 54명의 분석가가 다루고 있습니다. 이 중 22명의 분석가가 우리 보고서에 입력 데이터로 사용되는 매출 또는 수익 추정치를 제출했습니다. 분석가의 제출 자료는 하루 종일 업데이트됩니다.
| 분석가 | 기관 |
|---|---|
| Andrew Charles Beale | Arete Research Services LLP |
| Joseph Bonner | Argus Research Company |
| William Power | Baird |