AT&T INC. (T)
Telephone Communications (No Radiotelephone) · Telephone Communications (No Radiotelephone) · NYSE
$24.21
+0.64%
Investingg Score
57.6 / 100
Hold
Business overview
AT&T operates within the Telephone Communications sector, generating an operating margin of 19.2% and a free cash flow margin of 15.5%. These profitability figures reflect solid cash generation capabilities, supporting a Financial Quality pillar score of 44 out of 100. However, gross margin data is unavailable, which creates uncertainty regarding direct cost structures.
Financial health
The Balance Sheet pillar score stands at 34 out of 100, indicating potential financial leverage risks or lower liquidity buffers relative to benchmark standards. On cash flow, the business produces a 15.5% free cash flow margin, aiding operational flexibility. The Risk pillar is scored at 100, though detailed balance sheet liabilities data is unavailable.
- Gross Margin
- Data unavailable
- Operating Margin
- 19.2%
- Current Ratio
- 0.9x
- Debt / Equity
- 1.07
- Free Cash Flow (TTM)
- $19.4B
- Interest Coverage
- Data unavailable
Valuation
The company's Valuation pillar is scored at 62 out of 100, supported by an EV to EBITDA ratio of 1.27. Several traditional valuation metrics are unavailable or reported as zero, including the P/E ratio, Price to Sales ratio (0), and FCF yield. This incomplete multiple set introduces uncertainty into absolute valuation assessments.
- P/E (TTM)
- Data unavailable
- Forward P/E
- Data unavailable
- Price / Sales
- 0.0x
- EV / EBITDA
- 1.3x
- FCF Yield
- Data unavailable
Key risks
- Balance sheet pillar score is low at 34 out of 100.
- Trading 3.6% below the 200-day moving average indicates longer-term technical resistance.
- Key valuation metrics including P/E ratio and FCF yield are unavailable.
Market cap $0 · data as of 2026-08-11
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Analyze T with Investingg AINot investment advice. Investingg AI summarizes public data and AI-generated analysis for informational purposes only.
