AT&T Inc (T)

T (NYSE:Telecommunications) EQUITY
$41.11
pos +0.15
+0.37%
Today's Range: 40.76 - 41.14 | T Avg Daily Volume: 25,320,900
Last Update: 01/17/17 - 4:05 PM EST
Volume: 22,510,856
YTD Performance: -3.34%
Open: $40.93
Previous Close: $40.96
52 Week Range: $33.43 - $43.89
Oustanding Shares: 6,141,000,000
Market Cap: 251,535,360,000
6-Month Chart
TheStreet Ratings Grade for T
Buy Hold Sell
A+ A A- B+ B B- C+ C C- D+ D D- E+ E E- F
TheStreet Ratings is the source for accurate ratings that you can rely upon to make sound, informed financial decisions. Click here to find out about our methodology.
Analysts Ratings
Historical Rec Current 1 Mo. Ago 2 Mo. Ago 3 Mo. Ago
Strong Buy 5 5 8 10
Moderate Buy 1 1 1 1
Hold 12 12 9 9
Moderate Sell 0 0 0 0
Strong Sell 0 0 0 0
Mean Rec. 2.39 2.39 2.06 1.95
Latest Dividend: 0.49
Latest Dividend Yield: 4.79%
Dividend Ex-Date: 01/06/17
Price Earnings Ratio: 17.36
Price Earnings Comparisons:
T Sector Avg. S&P 500
17.36 17.40 0.00
Price Performance History (%Change):
3 Mo 1 Yr 3 Y
4.69% 20.95% 21.99%
GROWTH 12 Mo 3 Yr CAGR
Revenue 10.80 0.10 0.05
Net Income 110.00 0.80 0.22
EPS 99.20 0.90 0.24
Earnings for T:
EBITDA 46.80B
Revenue 146.80B
Average Earnings Estimates
Qtr (12/16) Qtr (03/17) FY (12/16) FY (12/17)
Average Estimate $0.66 $0.75 $2.84 $2.98
Number of Analysts 19 13 22 22
High Estimate $0.69 $0.77 $2.87 $3.06
Low Estimate $0.61 $0.72 $2.79 $2.89
Prior Year $0.63 $0.72 $2.71 $2.84
Growth Rate (Year over Year) 4.43% 3.63% 4.88% 4.89%
Chart Benchmark
Average Frequency Timeframe
Indicator Chart Scale  
Symbol Comparison Bollinger Bands

Market Freezes in Its Tracks Real Money Pro($)

The question should be 'Will the market go higher?' -- not by how much.
Over the last two to three days breadth has turned slightly negative as the averages made all-time highs. Investor sentiment and swift changes in psychology are often indications of market exhaustion. The CBOE 10-day put/call ratio is at the lowest level since July (0.86). The five-day put/call ratio is even lower (at 0.80) and more worrisome. Over the last five years, a five-day put/call low has led market pullbacks that have continued for two to three weeks. One good example was in late December 2014, when the ratio hit 0.82; within two days a two-week market downdraft occurred. This year, in mid-July, the five-day put/call ratio fell all the way down to 0.76; another two-week decline started within three days. Measured moves -- a reversal advance, correction/consolidation and continuation advance -- in a host of stocks are also signposts of a potential for a consolidation/decline. In the Dow Jones Industrial Average there are seven stocks -- Disney (DIS) , JPMorgan Chase (JPM) , Goldman Sachs (GS) , AT&T (T) , Travelers (TRV) , UnitedHealth (UNH) and 3M (MMM) -- that have experienced measured moves since the Trump election victory. Bottom Line These observations are likely to sound trivial to those that want to believe the markets, like trees, will grow to the sky in an uninterrupted manner. But I have found that conspicuous divergences within the market -- some of
For Lockheed and other companies, government revenue stream is in jeopardy.
These names show technical characteristics of bullish or bearish reversal patterns.
Bullish
Dec 12, 2016 | 7:08 AM EST
Rating on T was raised from Neutral to Outperform, Robert Baird said. $44 price target. Like the addition of media assets and the telec...
A slight tightening of guidance for the current quarter should not come as a surprise to shareholders.

Intermediate Trade: AT&T Real Money Pro($)

The trade is the near-the-money, bullishly biased vertical call spread expiring in July.
Amid the Trump rally, charts continue to show narrow trading ranges, albeit to the upside.
Optiv and Presidio are being taken public by PE firms that appear hungry to profit from a strong tech IPO environment, but investors might want to tread cautiously.

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Except as otherwise indicated, quotes are delayed. Quotes delayed at least 20 minutes for all exchanges. Market Data provided by Interactive Data. Company fundamental data provided by Morningstar. Earnings and ratings provided by Zacks. Mutual fund data provided by Valueline. ETF data provided by Lipper. Powered and implemented by Interactive Data Managed Solutions.


TheStreet Ratings updates stock ratings daily. However, if no rating change occurs, the data on this page does not update. The data does update after 90 days if no rating change occurs within that time period.

IDC calculates the Market Cap for the basic symbol to include common shares only. Year-to-date mutual fund returns are calculated on a monthly basis by Value Line and posted mid-month.