Beirne Wealth Consulting Services LLC Has $443,000 Stake in Verizon Communications Inc. (NYSE:VZ)
Beirne Wealth Consulting Services LLC Has $443,000 Stake in Verizon Communications Inc. (NYSE:VZ)
Beirne Wealth Consulting Services LLC raised its position in shares of Verizon Communications Inc. (NYSE:VZ – Get Rating) by 4.9% in the 2nd quarter, according to the company in its most recent disclosure with the Securities and Exchange Commission. The institutional investor owned 8,732 shares of the cell phone carrier's stock after buying an additional 405 shares during the period. Beirne Wealth Consulting Services LLC's holdings in Verizon Communications were worth $443,000 as of its most recent filing with the Securities and Exchange Commission.
Other hedge funds also recently modified their holdings of the company. ETF Managers Group LLC boosted its stake in Verizon Communications by 5.0% in the fourth quarter. ETF Managers Group LLC now owns 11,844 shares of the cell phone carrier's stock valued at $619,000 after acquiring an additional 564 shares during the last quarter. LPL Financial LLC boosted its stake in Verizon Communications by 3.3% in the fourth quarter. LPL Financial LLC now owns 4,033,732 shares of the cell phone carrier's stock valued at $209,593,000 after acquiring an additional 128,365 shares during the last quarter. William Allan LLC bought a new position in Verizon Communications in the fourth quarter valued at approximately $1,850,000. Avaii Wealth Management LLC bought a new position in Verizon Communications in the fourth quarter valued at approximately $219,000. Finally, USAdvisors Wealth Management LLC boosted its stake in Verizon Communications by 2.2% in the fourth quarter. USAdvisors Wealth Management LLC now owns 11,628 shares of the cell phone carrier's stock valued at $604,000 after acquiring an additional 252 shares during the last quarter. Institutional investors and hedge funds own 62.83% of the company's stock.
Get Verizon Communications alerts:Wall Street Analysts Forecast Growth
VZ has been the topic of a number of recent analyst reports. Scotiabank cut shares of Verizon Communications from a "sector outperform" rating to a "sector perform" rating in a research report on Friday, July 22nd. UBS Group reduced their price target on shares of Verizon Communications from $57.00 to $47.00 and set a "neutral" rating on the stock in a research report on Monday, July 25th. Moffett Nathanson cut shares of Verizon Communications from a "market perform" rating to an "underperform" rating and set a $41.00 price target on the stock. in a research report on Thursday, August 18th. Raymond James reissued an "outperform" rating and set a $64.00 price target on shares of Verizon Communications in a research report on Thursday, July 7th. Finally, Cowen reduced their price target on shares of Verizon Communications from $71.00 to $64.00 and set an "outperform" rating on the stock in a research report on Monday, July 25th. Two research analysts have rated the stock with a sell rating, fifteen have assigned a hold rating and four have assigned a buy rating to the company. According to data from MarketBeat, Verizon Communications presently has an average rating of "Hold" and an average price target of $55.61.
Insider Transactions at Verizon Communications
In other news, EVP Craig L. Silliman sold 1,558 shares of the business's stock in a transaction dated Tuesday, July 5th. The shares were sold at an average price of $51.42, for a total transaction of $80,112.36. Following the transaction, the executive vice president now directly owns 33,403 shares in the company, valued at approximately $1,717,582.26. The transaction was disclosed in a document filed with the Securities & Exchange Commission, which can be accessed through the SEC website. 0.10% of the stock is owned by company insiders.Verizon Communications Stock Down 1.0 %
Shares of VZ stock opened at $39.52 on Friday. The company has a current ratio of 0.76, a quick ratio of 0.69 and a debt-to-equity ratio of 1.56. Verizon Communications Inc. has a 1 year low of $39.11 and a 1 year high of $55.51. The firm's fifty day moving average price is $43.77 and its two-hundred day moving average price is $48.41. The firm has a market capitalization of $165.97 billion, a P/E ratio of 7.92, a PEG ratio of 1.83 and a beta of 0.36.
Verizon Communications (NYSE:VZ – Get Rating) last issued its quarterly earnings results on Friday, July 22nd. The cell phone carrier reported $1.31 earnings per share (EPS) for the quarter, missing the consensus estimate of $1.32 by ($0.01). The business had revenue of $33.79 billion during the quarter, compared to analyst estimates of $33.77 billion. Verizon Communications had a net margin of 15.48% and a return on equity of 26.95%. The firm's quarterly revenue was up .1% on a year-over-year basis. During the same quarter in the previous year, the firm posted $1.37 earnings per share. On average, equities analysts predict that Verizon Communications Inc. will post 5.19 EPS for the current fiscal year.
Verizon Communications Increases Dividend
The company also recently disclosed a quarterly dividend, which will be paid on Tuesday, November 1st. Stockholders of record on Friday, October 7th will be paid a dividend of $0.6525 per share. The ex-dividend date is Thursday, October 6th. This is a positive change from Verizon Communications's previous quarterly dividend of $0.64. This represents a $2.61 annualized dividend and a dividend yield of 6.60%. Verizon Communications's payout ratio is currently 51.30%.
Verizon Communications Company Profile
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Verizon Communications Inc, through its subsidiaries, offers communications, technology, information, and entertainment products and services to consumers, businesses, and governmental entities worldwide. Its Consumer segment provides postpaid and prepaid service plans; internet access on notebook computers and tablets; wireless equipment, including smartphones and other handsets; and wireless-enabled internet devices, such as tablets, and other wireless-enabled connected devices comprising smart watches.
Further Reading
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Beirne Wealth Consulting Services LLC在第二季度將其在Verizon(紐約證券交易所代碼:VZ-GET評級)的股票持倉提高了4.9%,這是該公司最近向美國證券交易委員會披露的信息。在此期間,該機構投資者又購買了405股,持有8,732股這家手機運營商的股票。截至最近提交給美國證券交易委員會的文件,Beirne Wealth Consulting Services LLC在Verizon Communications持有的股份價值44.3萬美元。
其他對衝基金最近也調整了對該公司的持股。ETF Manager Group LLC在第四季度將其在Verizon Communications的持股增加了5.0%。ETF Manager Group LLC現在持有這家手機運營商11,844股股票,價值619,000美元,此前在上個季度又購買了564股。LPL Financial LLC在第四季度增持了3.3%的Verizon Communications股份。LPL Financial LLC現在擁有這家手機運營商4,033,732股股票,價值209,593,000美元,上個季度又收購了128,365股。William Allan LLC在第四季度購買了Verizon Communications的一個新頭寸,價值約為1,850,000美元。Avaii Wealth Management LLC在第四季度購買了Verizon Communications的一個新頭寸,價值約21.9萬美元。最後,USAdvisors Wealth Management LLC在第四季度將其在Verizon Communications的持股增加了2.2%。USAdvisors Wealth Management LLC在上個季度增持了252股USAdvisors Wealth Management LLC股票後,現在持有這家手機運營商11,628股股票,價值604,000美元。機構投資者和對衝基金持有該公司62.83%的股票。
到達威瑞森通訊警報:
華爾街分析師預測經濟增長
VZ一直是最近多份分析師報告的主題。加拿大豐業銀行在7月22日星期五的一份研究報告中,將Verizon Communications的股票評級從“行業表現優於大盤”下調至“行業表現”。7月25日,瑞銀集團在一份研究報告中將Verizon Communications的股票目標價從57.00美元下調至47.00美元,並將該股的評級定為“中性”。Moffett Nathanson將Verizon Communications的股票評級從“市場表現”下調至“表現不佳”,併為該股設定了41.00美元的目標價。在8月18日星期四的一份研究報告中。雷蒙德·詹姆斯在7月7日週四的一份研究報告中重新發布了對Verizon Communications的評級,併為Verizon Communications的股票設定了64.00美元的目標價。最後,考恩在7月25日(星期一)的一份研究報告中將Verizon Communications的股票目標價從71.00美元下調至64.00美元,並對該股設定了“跑贏大盤”的評級。兩名研究分析師對該股的評級為賣出,15名分析師給出了持有評級,四名分析師給出了該公司的買入評級。根據MarketBeat的數據,Verizon Communications目前的平均評級為“持有”,平均目標價為55.61美元。
Verizon Communications的內幕交易
在其他新聞方面,執行副總裁克雷格·L·西里曼在7月5日星期二的交易中出售了1,558股該公司的股票。這些股票以51.42美元的平均價格出售,總成交金額為80112.36美元。交易完成後,執行副總裁總裁現在直接持有該公司33,403股股份,價值約1,717,582.26美元。這筆交易是在提交給美國證券交易委員會的一份文件中披露的,可以通過以下方式獲取美國證券交易委員會網站。0.10%的股份由公司內部人士持有。
Verizon Communications股價下跌1.0%
VZ股票上週五開盤報39.52美元。該公司的流動比率為0.76,速動比率為0.69,債務權益比率為1.56。Verizon Communications Inc.的股價一年來最低為39.11美元,一年來最高為55.51美元。該公司的50日移動均線價格為43.77美元,200日移動均線價格為48.41美元。該公司的市值為1659.7億美元,市盈率為7.92倍,聚乙二醇率為1.83倍,貝塔係數為0.36。
Verizon Communications(紐約證券交易所代碼:VZ-GET Rating)上一次發佈季度收益報告是在7月22日星期五。這家手機運營商公佈本季度每股收益(EPS)為1.31美元,低於普遍預期的1.32美元(0.01美元)。該業務本季度營收為337.9億美元,而分析師預期為337.7億美元。Verizon Communications的淨利潤率為15.48%,股本回報率為26.95%。該公司的季度收入同比增長了1.1%。去年同期,該公司公佈的每股收益為1.37美元。股票分析師平均預測,Verizon Communications Inc.本財年每股收益將達到5.19歐元。
Verizon Communications增加股息
該公司最近還披露了季度股息,將於11月1日(星期二)支付。10月7日(星期五)登記在冊的股東將獲得每股0.6525美元的股息。除息日期為10月6日星期四。與Verizon Communications之前的季度派息0.64美元相比,這是一個積極的變化。這意味着年化股息為2.61美元,股息收益率為6.60%。威瑞森通訊的派息率目前為51.30%。
Verizon Communications公司簡介
(獲取評級)
Verizon通過其子公司向全球消費者、企業和政府實體提供通信、技術、信息和娛樂產品和服務。其消費者部門提供後付費和預付費服務計劃;筆記本電腦和平板電腦上的互聯網接入;無線設備,包括智能手機和其他手機;以及支持無線的互聯網設備,如平板電腦,以及其他支持無線連接的設備,包括智能手錶。
進一步閲讀
免費獲取StockNews.com關於Verizon Communications(VZ)的研究報告
MarketBeat:回顧一週9/19-9/23
為什麼特斯拉的股票保持彈性?
小盤股的裁員是樓市的晴雨表嗎?
好市多盈利後價格疲軟是買入的好時機嗎?
需要關注的2只半導體類股走勢逆轉
想看看還有哪些對衝基金持有VZ嗎?訪問HoldingsChannel.com獲取Verizon的最新13F文件和內幕交易。
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