Stocks / VZ

VZ stock forecast

VERIZON COMMUNICATIONS INC · Communication Services · Telecom Services

The model's rating

Greatly Outperform

VZ is rated Greatly Outperform as of September 29, 2026: its medium-term return forecast is in the top fifth of the stocks the model scores.

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VZ is not among the 20 largest holdings published for 2026 Q3. See the portfolio

VZ against the S&P 500

PeriodVZS&P 500 (SPY)
1 month-8.2%-0.4%
3 months+10.4%+2.6%
Year to date+18.6%+12.9%
1 year+13.6%+16.4%

Total return, dividends included.

Key numbers

Price$45.98
Market cap191.04 Billion
P/E (trailing 12 months)12.0
P/S (trailing 12 months)1.4
P/B (latest quarter)1.9
Gross margin59.3%
Net profit margin11.6%
Return on equity15.5%
Beta-0.3

As of July 31, 2026.

VZ and its closest peers

StockCompanyMarket capModel rating
TMUS T-MOBILE US INC 174.82 Billion Underperform VZ vs TMUS
T AT&T INC 167.75 Billion Outperform VZ vs T
CMCSA COMCAST CORP 76.65 Billion Greatly Outperform VZ vs CMCSA
ECHO ECHOSTAR CORP 26.11 Billion Outperform
CHTR CHARTER COMMUNICATIONS INC 13.2 Billion Greatly Outperform
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Questions

What does the Upfront Investment model say about VZ?

The model rates VERIZON COMMUNICATIONS INC (VZ) "Greatly Outperform" as of September 29, 2026, which means its medium-term return forecast is in the top fifth of the stocks the model scores. The rating is a statistical forecast, not a recommendation to buy or sell.

How is the VZ rating produced?

A machine-learning model forecasts each stock's return over the coming months and ranks the forecasts against each other. The label says where this stock's forecast falls in that ranking. It is refreshed whenever the model's data updates, normally every trading day.

Is VZ in the Upfront Investment model portfolio?

VZ is not among the 20 largest holdings published for 2026 Q3.

The rating is the output of a statistical model and can be wrong. It is not investment advice and takes no account of your circumstances. Past performance does not guarantee future results.