how is verizon stock doing — VZ Stock Overview
Verizon Communications Inc. (VZ) — Stock Overview
how is verizon stock doing is a common question for income and large‑cap equity investors. This article explains what Verizon (ticker: VZ) is, where it trades, current market indicators (dated), recent performance, core financials, dividend policy, analyst sentiment, risks, and practical monitoring tools — with neutral, data‑focused coverage and suggestions on using Bitget for trading and Bitget Wallet for custody where applicable.
Ticker, Exchange and Trading Basics
Verizon Communications Inc. trades under the ticker VZ on the New York Stock Exchange (NYSE). Trading hours for the NYSE are 9:30 a.m. to 4:00 p.m. Eastern Time for regular session trading, with pre‑market and after‑hours liquidity available through many brokers and platforms. VZ is a large‑cap, highly liquid stock with an active options market and regular institutional coverage.
- Listing: Verizon Communications Inc., common stock (VZ)
- Exchange: NYSE — main U.S. equity market
- Trading hours: Regular session 9:30–16:00 ET (pre‑market & after‑hours exist)
- Options: Standard equity options listed and widely traded
- Liquidity characteristics: Historically high daily volume and large institutional float
Current Market Snapshot
Market data moves continuously. Below are representative figures with clear data dates. Read them as a dated snapshot, and verify live quotes before making decisions.
As of 2024‑06‑03, according to Yahoo Finance and TradingView reports: VZ was trading near $39–$41 per share, with a market capitalization in the low hundreds of billions USD and average daily volume measured in the tens of millions of shares. Other real‑time providers such as CNN Markets, MarketWatch, Reuters/LSEG, and CNBC publish live quotes and confirm VZ’s status as a high‑liquidity large‑cap telecom stock.
Key snapshot items to check on a live basis:
- Last trade price / intraday change
- Market capitalization
- Trading volume (intraday and average daily volume)
- 52‑week high / low
- Beta and float
- Dividend yield and ex‑dividend date
For verified real‑time figures, consult sources such as Yahoo Finance (VZ quote), TradingView (charting), MarketWatch and Reuters/LSEG. As noted above, these sources are referenced throughout this article for price and key metrics reporting.
Recent Price Performance and Trends
Short‑term and medium‑term price behavior matters for different investor time horizons.
Short term (day / week / month)
Intraday and weekly moves often reflect earnings surprises, macro news, or sector rotation. For instance, earnings releases, changes in guidance, or major network announcements can produce +/- single‑digit percent moves intraday and larger moves around quarterly reports. For current intraday trends and candlestick charts, TradingView and Yahoo Finance provide minute‑by‑minute charts; CNN Markets and MarketWatch offer snapshot commentary.
Medium term (3–12 months)
Over 3–12 month windows, Verizon’s stock has historically been influenced by: subscriber growth or declines in wireless and broadband, capital allocation (dividend and buybacks), regulatory developments (spectrum auctions or rulings), and macro factors such as interest rates that affect dividend stock valuations. Reference Seeking Alpha and MarketChameleon for period‑by‑period analysis.
To inspect visual trends, use charting tools on TradingView or the price history function on Yahoo Finance. These allow overlaying moving averages (50‑, 200‑day), volume, and RSI to detect momentum shifts or consolidation patterns.
Historical Performance
Longer‑term returns include price appreciation and dividends. Historically, Verizon has been seen as an income‑oriented, defensive telecom name with periods of modest price growth but steady dividend payouts. Key historical drivers included major M&A activity, spectrum purchases and sales, regulatory rulings, and changes in wireless competition.
- 1‑year, 3‑year, 5‑year price change: review via Yahoo Finance or MarketWatch historical tables for precise percentage returns.
- Total return: includes dividends; telecoms often provide meaningful contribution to total return through distributions.
- Past large moves: earnings shocks, network investment cycles, and corporate actions (spin‑offs or asset sales) have been material drivers.
When evaluating historical performance, include total shareholder return (TSR) which aggregates dividends and buybacks in addition to price changes. Seeking Alpha and MarketWatch publish TSR and historical dividend histories for VZ.
Key Financial Fundamentals
Fundamental review focuses on revenue, profitability, EPS, balance sheet strength, and cash flow. Below is a neutral, source‑oriented summary using recent public filings and aggregator sites.
Revenue and Profitability
Verizon’s revenue base is primarily wireless service and equipment, broadband/fixed network services, and enterprise solutions. Recent quarterly reports (refer to Verizon’s investor relations page or Reuters/CNBC summaries) show trends in:
- Wireless service revenue growth or contraction tied to postpaid and prepaid subscriber trends
- Broadband (Fios and fixed wireless) revenue performance
- Adjusted operating margins impacted by capital spending on 5G and fiber
As of the last published quarters in mid‑2024, aggregated sources reported that Verizon continued to generate stable revenue while investing in network upgrades; profit margins moved modestly with changes in operating expenses and amortization. For precise trailing‑four‑quarter revenue and margin figures, consult company 10‑Q/10‑K filings and aggregates on Yahoo Finance and MarketWatch.
Earnings per Share (EPS) and P/E Metrics
EPS (TTM) and both trailing and forward P/E ratios are standard valuation metrics. As of early June 2024, consensus EPS figures and resulting P/E multiples were published by Reuters, Yahoo Finance, and CNBC. Use those services for up‑to‑date trailing and forward P/E comparisons. Analysts sometimes flag one‑time items and adjusted EPS metrics; Seeking Alpha and company releases detail those adjustments.
Balance Sheet and Cash Flow
Verizon is capital‑intensive, with notable debt on its balance sheet due to network buildout and past acquisitions. Leverage ratios (net debt / EBITDA) and interest coverage are key metrics to monitor. Cash flow from operations and free cash flow determine dividend coverage and buyback capability.
Recent quarters showed continued free cash flow generation while capital spending remained elevated for 5G and fiber initiatives. For verified debt balances, leverage ratios, and cash flow trends, check the latest 10‑Q/10‑K and aggregates on MarketWatch, Reuters, and Yahoo Finance.
Dividends and Shareholder Returns
Dividends are central to Verizon’s investor proposition. The company has a long track record of paying quarterly dividends and targeting steady payouts.
- Dividend per share and yield: reported on dividend tables at Yahoo Finance, MarketWatch, and CNBC. Yields can be sensitive to share price movement.
- Payout ratio: compare dividend payments to net income and free cash flow to assess sustainability.
- Buybacks: Verizon has run share repurchase programs at times; details and remaining authorization are available in company filings and investor presentations.
As of published mid‑2024 reporting, sources indicated Verizon’s dividend remained a primary appeal for income investors. Confirm current yield and ex‑dividend dates through the real‑time quote providers listed in this article.
Earnings, Guidance and Management Commentary
Quarterly earnings reports and management guidance are principal catalysts for the stock. Recent quarters included management commentary on subscriber trends, 5G deployment progress, capital allocation, and strategic priorities.
As of the latest quarterly cycle (reported in mid‑2024), Verizon’s management discussed steady service revenue with investments in network capacity. Official company press releases and investor calls are the definitive sources for guidance; Reuters, Seeking Alpha and CNBC provide concise earnings summaries and highlight any beats/misses relative to consensus.
Analyst Coverage and Market Sentiment
VZ is widely covered by sell‑side and independent analysts. Consensus ratings (buy/hold/sell distribution) and mean price target are updated on platforms such as Yahoo Finance, MarketWatch and Reuters.
Typical observations from analyst coverage include commentary on valuation relative to peers, dividend sustainability, and the pace of subscriber growth. Upgrades or downgrades around earnings or strategic announcements have historically influenced near‑term sentiment and flows.
Major Recent News and Catalysts
Material news items that can move Verizon’s stock include: large M&A or asset sales, regulatory approvals for spectrum or acquisitions, notable network outages or cybersecurity incidents, and management changes.
As of the mid‑2024 reporting window, notable items reported by Reuters, CNBC and MarketWatch included operational updates on network deployments and corporate statements about capital allocation. For the most current timeline of impactful events, review the news feeds on Yahoo Finance, CNN Markets, and Seeking Alpha.
Risks and Challenges
Several company‑specific and industry risks affect Verizon’s outlook. Important categories include:
- Competition: Pressure from national wireless rivals and cable broadband providers can affect pricing and subscriber trends.
- Regulation and spectrum: Regulatory outcomes and spectrum auction costs or limitations can change capital needs and service capabilities.
- Capital intensity: Network buildouts (5G, fiber) require sustained investment which can pressure free cash flow if revenue growth is soft.
- Debt: High leverage increases sensitivity to interest rates and could constrain capital return flexibility.
- Technology and cybersecurity: Network outages or cyber incidents can cause reputational harm and financial impact; monitor security disclosures and incident reporting.
These risks are routinely discussed in company filings, analyst reports, and coverage on Reuters/CNBC/MarketWatch. Investors should track both company disclosures and industry developments for evolving risk assessment.
Valuation and Relative Comparison
Valuation metrics to compare include P/E, EV/EBITDA and dividend yield versus peers. Common peers for comparison are other large U.S. telecoms and integrated broadband providers. Sources such as MarketWatch and Yahoo Finance list peer multiples and relative valuation tables.
Historically, Verizon has traded as a yield‑oriented telecom with valuations reflecting slower growth but reliable cash flow. Whether VZ trades at a premium or discount depends on current market sentiment, relative yields, and projected free cash flow trends in comparison to peers.
Technical Analysis and Market Structure
Traders reference moving averages (50‑day, 200‑day), Relative Strength Index (RSI), MACD, and volume to judge momentum and structural support/resistance. Typical technical observations include:
- Support levels near prior consolidation lows and moving average bands
- Resistance at recent swing highs or psychological price levels
- Volume spikes around earnings or major news
Options market signals — implied volatility (IV) and notable flow — can be monitored on MarketChameleon and TradingView to infer hedging or directional interest. Short interest data, available via MarketWatch or ADVFN, provides another lens into market structure and contrarian positioning.
Ownership and Shareholder Base
Major institutional holders and mutual funds commonly hold sizeable positions in VZ. Institutional ownership percentages, largest holders and recent insider transactions are listed on Yahoo Finance, MarketWatch and Reuters. Short interest figures provide insight into bearish positioning; monitor periodic updates on ADVFN and MarketWatch for current levels.
Investment Considerations and Strategies
how is verizon stock doing is a question that different investors answer based on their objectives. Below are neutral descriptions of how investors typically view VZ:
- Income investors: VZ is often used for dividend income, favoring consistent payouts and yield.
- Defensive allocation: As a large telecom, VZ is sometimes considered a defensive sector holding with recurring revenue streams.
- Value/turnaround investors: Some look at valuation and network investments for longer‑term upside if execution improves.
Risk management points: consider payout ratio vs. free cash flow, debt levels, and diversification to avoid concentration risk. This article is informational and does not provide personalized investment advice.
How to Monitor the Stock (Data Sources & Tools)
To follow VZ effectively, use a mix of real‑time price feeds, financial news, filings and specialized tools:
- Real‑time quotes & charts: TradingView and Yahoo Finance.
- Company filings & press releases: Verizon investor relations and SEC filings.
- Market news: Reuters, CNBC, MarketWatch, CNN Markets.
- Analyst consensus & estimates: Seeking Alpha, Yahoo Finance, Robinhood summary pages.
- Options & flow: MarketChameleon and TradingView options panels.
For trading execution and custody in Web3 or crypto‑adjacent contexts, consider Bitget for spot and derivatives trading, and Bitget Wallet for self‑custody where applicable. Always confirm that the chosen platform supports NYSE equity access if you intend to execute securities trades; Bitget provides a range of trading tools and market access for users on its platform.
Frequently Asked Questions (FAQ)
Is VZ a good dividend stock?
how is verizon stock doing as a dividend play depends on current yield, payout ratio, and free cash flow. Historically, Verizon offered a consistent dividend attractive to income investors. Check the latest dividend yield and payout coverage on Yahoo Finance and company filings for up‑to‑date metrics.
How cyclical is Verizon?
Verizon exhibits defensive characteristics due to recurring service revenue, but it faces cyclical impacts from consumer spending, business investment cycles, and telecom capital expenditure cycles tied to technology upgrades (e.g., 5G, fiber).
What drives Verizon’s earnings?
Primary drivers include subscriber growth and churn, average revenue per user (ARPU), enterprise contracts, equipment sales, and capital spending that enables new services. Regulatory outcomes and competitive pricing also affect margins and revenue growth.
Where can I find live quotes and charting?
Use TradingView for advanced charting and overlays, and Yahoo Finance, MarketWatch or CNBC for quick snapshots and news summaries. For options and implied volatility data, consult MarketChameleon.
See Also
- U.S. telecom sector overview
- AT&T stock (comparable legacy telecom)
- T‑Mobile stock (competitive peer for wireless)
- Broadband and fiber investment trends
- Telecom regulation and spectrum policy
References and Further Reading
The reporting and figures in this article reference public market data aggregators and news organizations. Representative sources include: Yahoo Finance (VZ), CNN Markets (VZ), TradingView (NYSE:VZ), Seeking Alpha (VZ analysis), MarketChameleon (VZ trading stats), MarketWatch (VZ quote), Reuters / LSEG (VZ), ADVFN (VZ data), CNBC (VZ), and Robinhood (VZ overview). Verify any specific metric against the original source and the company's SEC filings for the most authoritative figures.
Reporting dates: where we cited specific price or snapshot language, those figures were based on mid‑2024 public reporting; always check the live feed for current numbers. For example, as of 2024‑06‑03 several aggregators reported VZ trading in the low $40s (source: Yahoo Finance; TradingView).
Further reading and next steps
If you want to watch Verizon closely, set price alerts and dividend event reminders on your preferred platform. For trading and custody, consider exploring Bitget’s trading tools and the Bitget Wallet for secure asset management. To keep informed, follow quarterly SEC filings and major news events flagged on Reuters, CNBC and MarketWatch.
If your objective is income generation or defensive exposure, bookmark the dividend history and payout coverage pages and monitor free cash flow and leverage metrics quarterly.
How is verizon stock doing? Use the sources listed here for live verification and track the indicators most relevant to your investment horizon: price trends for traders, dividend sustainability and cash flow for income investors, and subscriber and revenue trends for fundamental investors.
Ready to monitor or trade VZ? Explore Bitget’s market tools and Bitget Wallet to manage positions — confirm platform support for NYSE equities and consult the official filings and real‑time feeds for any trade decision.
Note: This article is informational and neutral. It summarizes public data and widely available analysis. It is not personalized investment advice and does not recommend buying or selling securities.


















