RY 164.07 0.6379% SHOP 127.42 7.5456% TD 86.07 0.5491% ENB 63.02 -0.1426% BN 71.19 2.8906% TRI 250.82 -0.4129% CNQ 40.5 -0.0494% CP 101.37 0.6454% CNR 135.8 0.6597% BMO 131.37 0.9917% BNS 67.21 0.8856% CSU 4808.0 3.5285% CM 83.6 1.1617% MFC 41.65 3.1196% ATD 73.46 0.232% NGT 74.0 -1.7786% TRP 67.57 -0.3098% SU 48.57 -0.7966% WCN 270.7 -0.9767% L 216.4 0.0647%
Verizon Communications Inc.
VZ Details
Verizon Communications Inc. (NYSE: VZ) is a company that makes and sells items and services in the areas of communications, information, and entertainment. It operates in two segments: 1) Verizon Consumer Group, which provides cellular and landline communications services to individual customers, and 2) Verizon Business Group, which provides wireless services to business and government customers and wireline carriers, including data, video, and conferencing, corporate networking solutions, security and managed network services, local and long-distance phone services, and others.
Latest Updates
Q1 FY22 Results
(Source: Company Filings)
FY22 Guidance
(Source: Company Filings)
Key Risks
Valuation Methodology: EV/Sales Multiple Based Relative Valuation
(Source: Analysis by Kalkine Group)
*% Premium/(Discount) is based on our assessment of the company's FY1 trading multiple after considering its key growth drivers, economic moat, stock's historical trading multiples versus peer average/median, and investment risks.
Stock Recommendation
In the last three months, VZ's stock price has dropped by 7.00%. The P/E is at 9.4x and the Price to Book Value is 2.2x, both of which are lower than the industry median and have room to increase in the future quarters, which is simultaneously justified by strong fundamentals, a positive outlook, and a significant dividend yield of 5%, which is more than the industrial average.
VZ has demonstrated a growth path that involves, the launch of the C Band and the expansion of mobile edge computing. Moreover, by the end of 2022, at least 175 million people should have access to 5G Ultra-Wideband.
Based on revenue growth, increased operating and net margins, robust ROE, related risks, and current valuation, we recommend a "Hold" rating on the stock at the current market price of USD 50.85 as of June 02, 2022, at 07:48 AM PDT.
1 Year Technical Price Chart (as of June 02, 2022, at 07:48 AM PDT). Source: REFINITIV, Analysis by Kalkine Group
Note 1: The reference data in this report has been partly sourced from REFINITIV.
Note 2: Investment decisions should be made depending on the investors' appetite for upside potential, risks, holding duration, and any previous holdings. Investors can consider exiting the stock if the Target Price mentioned as per the valuation has been achieved and subject to the factors discussed above.
Note 3: The report publishing date is as per the Pacific Time Zone.
Disclaimer
The advice given by Kalkine Canada Advisory Services Inc. and provided on this website is general information only and it does not take into account your investment objectives, financial situation and the particular needs of any particular person. You should therefore consider whether the advice is appropriate to your investment objectives, financial situation and needs before acting upon it. You should seek advice from a financial adviser, stockbroker or other professional (including taxation and legal advice) as necessary before acting on any advice. Not all investments are appropriate for all people. The website www.kalkine.ca is published by Kalkine Canada Advisory Services Inc. The link to our Terms & Conditions has been provided please go through them. On the date of publishing this report (mentioned on the website), employees and/or associates of Kalkine do not hold positions in any of the stocks covered on the website. These stocks can change any time and readers of the reports should not consider these stocks as advice or recommendations later.