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VZ market-structure snapshot

2026-08-13·stock-deep-dive-20260813-slot-06-1215-vz
$VZ: multi-source stock research

VERIZON COMMUNICATIONS INC

MARKET STRUCTURE

Latest close on August 13, 2026: $47.72 (+1.6% on the latest daily bar).

HMA21 / HMA55: $47.46 / $46.63. 200DMA: $44.94.

Relative volume: 0.20x the 20-day average.

Nearest support/watch zone: $47.00.

Nearest resistance/watch zone: $47.79.

Price is above the 200DMA, so the long-term trend reference is supportive.

FUNDAMENTALS AND VALUATION

Latest comparable filing period: 2026 Q2 ending 2026-06-30; filed 2026-07-31.

Comparable growth: revenue -0.7% YoY; net income -23.3% YoY; diluted EPS -22.0% YoY.

Quality and cash conversion: net margin 11.2% (-330 bp YoY).

Valuation snapshot: trailing P/E 12.4x; forward P/E 9.0x; EV/EBITDA 7.6x; P/S 1.4x.

Read-through:
• Revenue grew faster than net income, so earnings conversion remains the key quality question.

BOTTOM LINE

The technical structure is constructive, while both revenue and net income were under pressure in the latest comparable period. The next confirmation must come from both price structure and the next reported operating data—not from narrative alone.

WHAT TO WATCH

• Holding above HMA21 near $47.46 would preserve the short-term structure.
• A close below the nearby support zone around $47.00 would weaken the setup.
• Whether the next filing confirms that revenue growth is converting into net income, EPS and cash flow.

#Stocks #Fundamentals #TechnicalAnalysis #VZ

Charts

VZ chart 1
VZ chart 1

Full text

VZ market-structure snapshot

Latest close on August 13, 2026: $47.72 (+1.6% on the latest daily bar). HMA21 / HMA55: $47.46 / $46.63. 200DMA: $44.94. Relative volume: 0.20x the 20-day average.

Latest close on August 13, 2026: $47.72 (+1.6% on the latest daily bar). HMA21 / HMA55: $47.46 / $46.63. 200DMA: $44.94. Relative volume: 0.20x the 20-day average.

VZ latest SEC/Yahoo fundamental and valuation snapshot

Latest comparable filing period: 2026 Q2 ending 2026-06-30; filed 2026-07-31. Comparable growth: revenue -0.7% YoY; net income -23.3% YoY; diluted EPS -22.0% YoY.

Latest comparable filing period: 2026 Q2 ending 2026-06-30; filed 2026-07-31.
Comparable growth: revenue -0.7% YoY; net income -23.3% YoY; diluted EPS -22.0% YoY.
Quality and cash conversion: net margin 11.2% (-330 bp YoY).
Valuation snapshot: trailing P/E 12.4x; forward P/E 9.0x; EV/EBITDA 7.6x; P/S 1.4x.
Revenue grew faster than net income, so earnings conversion remains the key quality question.

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