Polymer Capital Management HK LTD Sells 10,940 Shares of Verizon Communications Inc. $VZ

Polymer Capital Management HK LTD decreased its position in shares of Verizon Communications Inc. (NYSE:VZFree Report) by 64.6% during the fourth quarter, according to its most recent filing with the Securities and Exchange Commission. The institutional investor owned 6,000 shares of the cell phone carrier’s stock after selling 10,940 shares during the quarter. Polymer Capital Management HK LTD’s holdings in Verizon Communications were worth $244,000 at the end of the most recent quarter.

A number of other hedge funds and other institutional investors have also made changes to their positions in the company. Van Lanschot Kempen Investment Management N.V. bought a new position in shares of Verizon Communications during the 4th quarter worth $8,483,000. Banco Santander S.A. grew its position in shares of Verizon Communications by 5.6% during the 4th quarter. Banco Santander S.A. now owns 103,828 shares of the cell phone carrier’s stock worth $4,229,000 after buying an additional 5,498 shares in the last quarter. Sumitomo Life Insurance Co. grew its position in shares of Verizon Communications by 0.7% during the 4th quarter. Sumitomo Life Insurance Co. now owns 35,023 shares of the cell phone carrier’s stock worth $1,426,000 after buying an additional 227 shares in the last quarter. ROI Financial Advisors LLC grew its position in shares of Verizon Communications by 14.2% during the 4th quarter. ROI Financial Advisors LLC now owns 14,912 shares of the cell phone carrier’s stock worth $607,000 after buying an additional 1,859 shares in the last quarter. Finally, Wealthspire Advisors LLC grew its position in shares of Verizon Communications by 8.9% during the 4th quarter. Wealthspire Advisors LLC now owns 151,095 shares of the cell phone carrier’s stock worth $6,154,000 after buying an additional 12,391 shares in the last quarter. Institutional investors own 62.06% of the company’s stock.

Analysts Set New Price Targets

A number of equities analysts have recently issued reports on VZ shares. Scotiabank raised Verizon Communications from a “sector perform” rating to a “sector outperform” rating and increased their price target for the stock from $50.25 to $54.50 in a research report on Monday, March 9th. Morgan Stanley raised their price objective on Verizon Communications from $49.00 to $50.00 and gave the company an “equal weight” rating in a research report on Tuesday, April 28th. JPMorgan Chase & Co. raised their price objective on Verizon Communications from $49.00 to $52.00 and gave the company a “neutral” rating in a research report on Thursday, April 30th. Weiss Ratings reaffirmed a “buy (b)” rating on shares of Verizon Communications in a research report on Friday, May 29th. Finally, Wells Fargo & Company raised their price objective on Verizon Communications from $44.00 to $46.00 and gave the company an “equal weight” rating in a research report on Tuesday, April 28th. One research analyst has rated the stock with a Strong Buy rating, nine have assigned a Buy rating and eleven have given a Hold rating to the company. Based on data from MarketBeat.com, Verizon Communications currently has a consensus rating of “Moderate Buy” and a consensus price target of $50.59.

Get Our Latest Stock Report on VZ

Verizon Communications Trading Up 2.5%

Shares of NYSE:VZ opened at $48.10 on Friday. Verizon Communications Inc. has a 52-week low of $38.39 and a 52-week high of $51.68. The stock has a market cap of $200.85 billion, a price-to-earnings ratio of 11.73, a PEG ratio of 1.15 and a beta of 0.24. The company has a quick ratio of 0.61, a current ratio of 0.64 and a debt-to-equity ratio of 1.38. The business has a 50-day moving average price of $47.20 and a 200-day moving average price of $45.47.

Verizon Communications (NYSE:VZGet Free Report) last announced its quarterly earnings data on Monday, April 27th. The cell phone carrier reported $1.28 earnings per share (EPS) for the quarter, topping the consensus estimate of $1.21 by $0.07. Verizon Communications had a return on equity of 19.25% and a net margin of 12.46%.The firm had revenue of $34.44 billion during the quarter, compared to analysts’ expectations of $34.82 billion. During the same period last year, the business posted $1.19 earnings per share. The company’s revenue for the quarter was up 2.7% compared to the same quarter last year. Verizon Communications has set its FY 2026 guidance at 4.950-4.990 EPS. Equities analysts predict that Verizon Communications Inc. will post 4.97 EPS for the current year.

Verizon Communications Announces Dividend

The company also recently disclosed a quarterly dividend, which will be paid on Monday, August 3rd. Stockholders of record on Friday, July 10th will be paid a $0.7075 dividend. This represents a $2.83 annualized dividend and a dividend yield of 5.9%. The ex-dividend date is Friday, July 10th. Verizon Communications’s dividend payout ratio (DPR) is presently 69.02%.

Key Stories Impacting Verizon Communications

Here are the key news stories impacting Verizon Communications this week:

Verizon Communications Company Profile

(Free Report)

Verizon Communications Inc (NYSE: VZ) is a major U.S.-based telecommunications company that provides a broad range of communications and information services. Its operations span consumer and business markets, with core offerings that include wireless voice and data services, fixed-line broadband and fiber-optic services, and enterprise networking solutions. Verizon is headquartered in New York City and operates a nationwide wireless network that supports consumer subscribers as well as business and government customers.

The company’s consumer products include mobile phone plans, unlimited data services, and Fios, its branded fiber-optic internet, television and voice service for homes and small businesses.

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Institutional Ownership by Quarter for Verizon Communications (NYSE:VZ)

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