Core Insights - Verizon Communications Inc. is a leading telecommunications company in the U.S., providing a wide range of services including wireless communications, broadband, and enterprise solutions [1] - The company has a market capitalization of approximately $174.7 billion and is heavily investing in next-generation networking and emerging technologies [2] - Analysts project Verizon to report a profit of $1.20 per share for fiscal Q3 2025, a slight increase from $1.19 per share in the same quarter last year [3] Financial Performance - For the full year, analysts expect Verizon's EPS to be $4.70, reflecting a 2.4% increase from $4.59 in fiscal 2024, with further growth anticipated to $4.93 in fiscal 2026 [3] - Verizon's stock has declined by 5.6% over the past 52 weeks, underperforming the S&P 500 Index's 17.9% return and the Communication Services Select Sector SPDR ETF's 29.4% increase [4] Market Sentiment - Recent leadership changes, including the appointment of Dan Schulman as CEO, have created investor uncertainty regarding potential strategic shifts [5] - Concerns about Verizon's heavy debt burden and high capital demands for maintaining competitiveness in 5G and fiber infrastructure are prevalent among investors [6] - Wall Street analysts maintain a "Moderate Buy" rating on Verizon stock, with varying recommendations from "Strong Buy" to "Hold" among 30 analysts [6]
Earnings Preview: What To Expect From Verizon Communications Report