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VZ

Verizon·NYSE
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3.61 / 10
Netural

Fundamental scrutiny indicates subpar standing (3.6/10). Favorable drivers: Inventory turnover days and Profit-MV, offset by weaknesses in PB-ROE and Accounts receivable turnover ratio. Investment outlook: guarded.

Fundamental(3.61)SentimentTechnical

Analysis Checks(4/10)

Net assets per share (growth rate compared to beginning of year %)
Value5.08
Score2/3
Weight11.91%
1M Return2.44%
Profit-MV
Value1.89
Score2/3
Weight37.20%
1M Return6.52%
Net income-Revenue
Value-0.14
Score2/3
Weight37.61%
1M Return7.22%
Accounts receivable turnover ratio
Value5.19
Score0/3
Weight-0.97%
1M Return-0.23%
PB-ROE
Value-0.61
Score0/3
Weight-4.96%
1M Return-1.25%
Total profit (YoY growth rate %)
Value-1.34
Score0/3
Weight-1.39%
1M Return-0.31%
Shareholders’ equity attributable to parent company (growth rate compared to beginning of year %)
Value5.26
Score1/3
Weight5.15%
1M Return1.06%
Cash-UP
Value-0.04
Score1/3
Weight-9.07%
1M Return-2.36%
Asset-MV
Value-0.50
Score1/3
Weight11.58%
1M Return2.78%
Inventory turnover days
Value14.87
Score2/3
Weight12.94%
1M Return2.92%
Is VZ fundamentally strong?
  • VZ scores 3.61/10 on fundamentals and holds a Fair valuation at present. Backed by its 16.65% ROE, 12.74% net margin, 11.37 P/E ratio, 1.85 P/B ratio, and -2.17% earnings growth, these metrics solidify its Netural investment rating.