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ATN International (ATNI) Reports Q1 Loss, Tops Revenue Estimates
ZACKS· 2025-04-30 23:50
Company Performance - ATN International reported a quarterly loss of $0.57 per share, significantly worse than the Zacks Consensus Estimate of a loss of $0.10, marking an earnings surprise of -470% [1] - The company posted revenues of $179.29 million for the quarter ended March 2025, slightly exceeding the Zacks Consensus Estimate by 0.35%, but down from $186.79 million a year ago [2] - Over the last four quarters, ATN International has surpassed consensus EPS estimates three times and topped consensus revenue estimates three times as well [2] Stock Outlook - The stock has increased approximately 8.9% since the beginning of the year, contrasting with the S&P 500's decline of -5.5% [3] - The current consensus EPS estimate for the upcoming quarter is -$0.17 on revenues of $183.71 million, and for the current fiscal year, it is -$0.08 on revenues of $728.03 million [7] Industry Context - The Wireless National industry, to which ATN International belongs, is currently ranked in the top 31% of over 250 Zacks industries, indicating a favorable outlook [8] - Empirical research suggests a strong correlation between near-term stock movements and trends in earnings estimate revisions, which can impact ATN International's stock performance [5][6]
Spok Holdings (SPOK) Surpasses Q1 Earnings and Revenue Estimates
ZACKS· 2025-04-30 23:10
Group 1: Earnings Performance - Spok Holdings reported quarterly earnings of $0.25 per share, exceeding the Zacks Consensus Estimate of $0.18 per share, and up from $0.21 per share a year ago, representing an earnings surprise of 38.89% [1] - The company posted revenues of $36.29 million for the quarter ended March 2025, surpassing the Zacks Consensus Estimate by 6.75%, compared to year-ago revenues of $34.91 million [2] Group 2: Stock Performance and Outlook - Spok shares have declined approximately 10.2% since the beginning of the year, while the S&P 500 has decreased by 5.5% [3] - The current consensus EPS estimate for the upcoming quarter is $0.20 on revenues of $34.3 million, and for the current fiscal year, it is $0.79 on revenues of $138 million [7] Group 3: Industry Context - The Wireless National industry, to which Spok belongs, is currently ranked in the top 31% of over 250 Zacks industries, indicating a favorable outlook compared to the bottom 50% [8] - Cambium (CMBM), another company in the same industry, is expected to report a quarterly loss of $0.11 per share, reflecting a year-over-year change of +76.1%, with revenues anticipated to be $45.53 million, up 7.5% from the previous year [9]
Crown Castle(CCI) - 2025 Q1 - Earnings Call Transcript
2025-04-30 21:00
Financial Data and Key Metrics Changes - The company reported strong first quarter results, with site rental revenues showing 5.1% organic growth, excluding the impact of Sprint cancellations [16] - The full year 2025 outlook includes 4.5% organic growth, adjusted EBITDA of approximately $2,800 million, and AFFO of approximately $1,800 million [19][20] - The company generated $53 million of free cash flow from discontinued operations in the first quarter, or $75 million excluding a $22 million increase in net working capital [19] Business Line Data and Key Metrics Changes - The tower business has experienced more than 5% average annual organic growth from 2020 to 2024, driven by substantial mobile data demand [6][7] - Site rental revenues included a $3 million contribution from other billings, primarily related to intercompany backed billings, which is not expected to recur [17] Market Data and Key Metrics Changes - The U.S. market has seen consistent demand growth across market cycles, with cash site rental revenues growing consistently despite economic fluctuations [7][8] - Customers have invested over $35 billion annually in their networks to maintain capacity and quality, indicating strong market dynamics [6] Company Strategy and Development Direction - The company is focused on becoming a pure play U.S. tower company, which is expected to unlock substantial value in its tower business [5] - The capital allocation framework aims to balance predictable returns to shareholders with financial flexibility, including a planned share repurchase program of approximately $3 billion [10][12] Management's Comments on Operating Environment and Future Outlook - Management expressed confidence in the full year 2025 outlook, citing strong first quarter results and ongoing progress in separating the fiber solutions and small cell businesses [12][20] - The company believes that the continued growth in data demand will drive durable growth in its business [6] Other Important Information - The board intends to reduce the annualized dividend per share to $4.25 beginning in the second quarter of 2025 [11] - The company plans to manage its debt balance to maintain an investment grade credit rating, expecting to use approximately $6 billion of cash proceeds from the sale to repay debt [12] Q&A Session Summary Question: Can you shed light on the executive changes and the strategy going forward? - Management indicated that the focus is on separating the fiber and small cell businesses and that M&A activity is unlikely in the short term due to the ongoing sale process [24][27] Question: What is the current status of the fiber business sale? - The transaction is expected to close in the first half of 2026, pending regulatory approvals, which are time-consuming but not anticipated to be difficult [38][40] Question: How is the new leasing activity expected to trend in 2025? - Management expects leasing activity to remain consistent throughout 2025, with a target of 4.5% organic growth [43][101] Question: What are the expectations regarding churn from the Sprint merger? - Management noted that while there is expected churn from the Sprint merger, overall churn is anticipated to remain in the normal range of 1% to 2% [52] Question: Can you provide insights on the services side of the business? - Demand for services is good, but the company has exited the construction services business, which may impact activity levels [64] Question: What are the expectations for cost management and AFFO growth? - Management is focused on cost control and expects to narrow the AFFO growth range as performance becomes clearer [87]
Crown Castle Reports First Quarter 2025 Results and Maintains Outlook for Full Year 2025
Globenewswire· 2025-04-30 20:15
HOUSTON, April 30, 2025 (GLOBE NEWSWIRE) -- Crown Castle Inc. (NYSE: CCI) ("Crown Castle") today reported results for the first quarter ended March 31, 2025 and maintains its full year 2025 Outlook, as reflected in the table below. (dollars in millions, except per share amounts)Current Full Year 2025 Outlook Midpoint(a) Full Year 2024 Actual Change % ChangeSite rental revenues(b)$4,010 $4,268 $(258)<td style="max-width:1%; min-width:1%;;border-top: solid black 1pt ; padding-left: 0 ; padding-right: 0 ; text ...
IHS Stock Surges 37.9% in the Past Year: Is It Still Worth Buying?
ZACKS· 2025-04-30 17:20
Core Insights - IHS Holding Limited's shares have increased by 37.9% over the past year, outperforming the industry and the S&P 500, which returned 35.3% and 10% respectively [1] - The stock closed at $4.95, below its 52-week high of $5.75 but above its 52-week low of $2.44, indicating solid upward momentum and price stability [4] - The company is experiencing strong demand for its infrastructure in emerging markets, particularly in Africa, driven by the increasing deployment of 5G [7][9] Financial Performance - In Q4 2024, IHS generated revenues of $437.8 million, reflecting a 39.3% year-over-year increase on an organic basis [7] - The Zacks Consensus Estimate for IHS' 2025 earnings has increased by 30.9% to 72 cents per share, indicating a year-over-year growth of 114.7% [12] - The stock has a forward 12-month price-to-earnings ratio of 6.52X, which is below the industry average of 7.95X, suggesting an attractive valuation for investors [13] Market Position and Growth Drivers - IHS has a total of 16,495 towers in Nigeria, its largest market, reflecting a 0.6% year-over-year increase [8] - The company added approximately 100 towers and over 800 tenants across the SSA market in 2024, supported by the deployment of 5G [9] - IHS has successfully renewed and extended all MTN MLAs, including a deal with Airtel Nigeria to add 3,950 new tenancies [10] Strategic Outlook - The company is well-positioned to leverage its market-leading position and capitalize on the growing demand for communications infrastructure solutions [8] - Solid momentum in the communication infrastructure market, driven by the proliferation of IoT and accelerated 5G rollout, positions IHS favorably for strong growth [15] - Positive analyst sentiment and robust growth prospects indicate it is an opportune time for potential investors to consider IHS [16]
T-Mobile's Q1 Earnings Beat on Solid Demand for Postpaid Services
ZACKS· 2025-04-30 15:35
T-Mobile US, Inc. (TMUS) , a leading wireless service provider, reported better-than-expected first-quarter fiscal 2025 results. Non-GAAP earnings of $2.58 per share surpassed the Zacks Consensus Estimate by 13 cents.Revenues surged 6.6% year over year to $20.88 billion. The figure surpassed the Zacks Consensus Estimate of $20.57 million. Healthy traction in multiple verticals boosted the top line.TMUS’ Segment PerformanceIn the fiscal first quarter, T-Mobile's total postpaid revenues rose 7.6% year over ye ...
Amer Movil (AMX) Misses Q1 Earnings Estimates
ZACKS· 2025-04-30 12:06
Group 1: Earnings Performance - Amer Movil reported quarterly earnings of $0.30 per share, missing the Zacks Consensus Estimate of $0.32 per share, but showing an increase from $0.25 per share a year ago, resulting in an earnings surprise of -6.25% [1] - The company posted revenues of $11.36 billion for the quarter ended March 2025, surpassing the Zacks Consensus Estimate by 0.68%, although this represents a decline from year-ago revenues of $11.98 billion [2] - Over the last four quarters, Amer Movil has not surpassed consensus EPS estimates, but has topped consensus revenue estimates two times [2] Group 2: Stock Performance and Outlook - Amer Movil shares have increased by approximately 19.9% since the beginning of the year, contrasting with the S&P 500's decline of -5.5% [3] - The company's earnings outlook is crucial for investors, as it includes current consensus earnings expectations for upcoming quarters and any recent changes to these expectations [4] - The current consensus EPS estimate for the coming quarter is $0.34 on revenues of $11.26 billion, and $1.45 on revenues of $46.4 billion for the current fiscal year [7] Group 3: Industry Context - The Wireless Non-US industry, to which Amer Movil belongs, is currently ranked in the top 34% of over 250 Zacks industries, indicating a favorable outlook compared to the bottom 50% [8] - Empirical research suggests a strong correlation between near-term stock movements and trends in earnings estimate revisions, which can be tracked by investors or through tools like the Zacks Rank [5][6]
Ceragon Secures $4.1 Million Agreement to Power Mission-Critical Infrastructure for Leading North American Oil & Gas Producer
Prnewswire· 2025-04-30 12:00
Ceragon to deliver turnkey industrial connectivity and infrastructure solutions for essential operationsROSH HA'AIN, Israel, April 30, 2025 /PRNewswire/ -- Ceragon (NASDAQ: CRNT), a leading solutions provider of end-to-end wireless connectivity, announces that its recently acquired systems integration business, E2E by Ceragon, has closed a $4.1 million agreement with a leading North American oil & gas production company.Under the agreement, E2E by Ceragon will design, build, and commission a comprehensive o ...
INVESTOR ALERT: Pomerantz Law Firm Investigates Claims On Behalf of Investors of T-Mobile US, Inc. - TMUS
GlobeNewswire News Room· 2025-04-29 20:43
NEW YORK, April 29, 2025 (GLOBE NEWSWIRE) -- Pomerantz LLP is investigating claims on behalf of investors of  T-Mobile US, Inc. (“T-Mobile” or the “Company”) (NASDAQ: TMUS). Such investors are advised to contact Danielle Peyton at newaction@pomlaw.com or 646-581-9980, ext. 7980. The investigation concerns whether T-Mobile and certain of its officers and/or directors have engaged in securities fraud or other unlawful business practices.  [Click here for information about joining the class action] On April 24 ...
Is ATN International (ATNI) Stock Outpacing Its Computer and Technology Peers This Year?
ZACKS· 2025-04-29 14:40
Group 1 - ATN International (ATNI) is a notable stock in the Computer and Technology sector, currently outperforming its peers with a year-to-date return of 6.4% compared to the sector average of -11.2% [4] - The Zacks Rank for ATN International is 1 (Strong Buy), indicating a positive earnings outlook and strong analyst sentiment, with a 74.7% increase in the consensus estimate for full-year earnings over the past three months [3][4] - ATN International belongs to the Wireless National industry, which has an average year-to-date return of 9.7%, indicating that ATNI is slightly underperforming its industry [6] Group 2 - Another stock in the Computer and Technology sector, Spotify (SPOT), has shown a year-to-date return of 33.6% and has a Zacks Rank of 2 (Buy) with a 20.7% increase in the consensus estimate for its current year EPS over the past three months [5] - The Computer and Technology sector is ranked 8 in the Zacks Sector Rank, which measures the strength of individual sector groups [2]