Verizon Communications Inc. (VZ) Shares Bought by NGAM Advisors LP

Its down 3.15% from 38.40 million shares previously. (NYSE:VZ). Tru Department Mb Comml Bank N A holds 0.55% of its portfolio in Verizon Communications Inc. The SI to Verizon Communications Incorporated's float is 0.91%. About 219,063 shares traded. The original version of this piece can be accessed at https://stocknewstimes.com/2017/10/12/fy2020-earnings-estimate-for-verizon-communications-inc-issued-by-gabelli-vz.html. It has underperformed by 25.18% the S&P500.

Here are some institutional investors who have increased or decreased their stake in (VZ). The company had a trading volume of 4,127,997 shares. The shares price has positioned 11.00% up over the past quarter while it has directed -0.56% toward a falling position throughout past six months. Equifax Inc now has $13.10 billion valuation. About 1.20 million shares traded. The company's Market capitalization is $924.40M with the total Outstanding Shares of 438.82M. Equifax Inc. (NYSE:EFX) has risen 11.28% since October 13, 2016 and is uptrending. It has outperformed by 62.70% the S&P500. (NYSE:VZ). Kempen Cap Nv reported 577,283 shares or 2.43% of all its holdings. They expect $0.78 earnings per share, up 6.85% or $0.05 from last year's $0.73 per share. EFX's profit will be $183.00 million for 17.90 P/E if the $1.52 EPS becomes a reality. The analysts estimated EPS for the higher end at 1.11 and lower end at 0.83 while the year ago reported earnings per share was 0.95.

As of quarter end F&V Capital Management, LLC had sold 3,635 shares trimming its position 2.2%. The 50 day moving average was up by +0.79% whereas the 200 day average was up by +3.86%. (NYSE:VZ) opened at 48.35 on Friday. RBC Capital Markets has "Buy" rating and $9400 target. (NYSE:VZ) earned "Perform" rating by Oppenheimer on Wednesday, July 20. Mizuho downgraded the stock to "Neutral" rating in Wednesday, November 16 report. The stock has "Outperform" rating by Cowen & Co on Wednesday, March 30.

Investors sentiment decreased to 0.88 in Q2 2017. On a percent-of-sales basis, T's free cash flow was 0.45% while VZ converted 1.52% of its revenues into cash flow. Among holders that decreased their positions, 110 sold out of the stock Verizon Communications Inc. 112 funds opened positions while 587 raised stakes. Short-term as well long term investors always focus on the liquidity of the stocks so for that concern, liquidity measure in recent quarter results of the company was recorded 0.40 as current ratio and on the opponent side the debt to equity ratio was 6.59 and long-term debt to equity ratio also remained 6.33. Supplemental Annuity Collective Of Nj invested 0.92% of its portfolio in Verizon Communications Inc. Finally, Robert W. Baird restated a "hold" rating and set a $49.00 price target on shares of Verizon Communications in a report on Wednesday, October 4th.

Verizon Communications (NYSE:VZ) last posted its quarterly earnings data on Thursday, April 20th. (VZ). T's ROI is 7.20% while VZ has a ROI of 15.10%. Sheets Smith Wealth Mgmt has 0.48% invested in Verizon Communications Inc.

On the other hand Shares of Halcon Resources Corporation, (NYSE: HK), showed a change of -2.78% and closed at $6.3 in the last trading session. RBC Capital Markets maintained Verizon Communications Inc. Ronna Sue Cohen holds 0.16% or 4,832 shares. (NYSE:VZ) for 52,198 shares. Alpha Windward Lc reported 4,750 shares. Hallmark Management owns 316,007 shares or 1.89% of their U.S. portfolio. 16,362 Verizon Communications Inc. (NYSE:VZ) for 68,182 shares.

Ltd reports that it increased its position in Verizon Communications Inc. shares by 1.0% as of the end of the last quarter. Rothschild Investment Corporation Il, Illinois-based fund reported 217,381 shares. Allegis Investment Advisors LLC boosted its holdings in Verizon Communications by 9.0% during the 1st quarter. Advsrs Cap Mngmt Limited Liability Company stated it has 66,642 shares or 0.24% of all its holdings. The Company, through its subsidiaries, provides communications, information and entertainment products and services to consumers, businesses and governmental agencies. Now has a PEG ratio of - where as its P/E ratio is 0.00. The Company's divisions include Wireless and Wireline. Verizon Communications's payout ratio is 71.74%. Two analysts have rated the stock with a sell rating, twenty-two have given a hold rating, five have assigned a buy rating and one has issued a strong buy rating to the stock. Therefore 23% are positive. Verizon Communications Inc. had 51 analyst reports since July 22, 2015 according to SRatingsIntel. The stock of Verizon Communications Inc. All else equal, T's higher growth rate would imply a greater potential for capital appreciation. As per Thursday, January 19, the company rating was initiated by HSBC.

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