AT&T Inc.(T)
NASDAQ

Stock Overview & Analysis

$27.98
-0.02 (-0.05%)

AT&T Inc. (T) quick overview 2026-02-20

  • The stock is currently trading at $27.98, experiencing a price strength within a larger uptrend—trading above its 50-day average while holding above the 200-day.
  • Analysts appear optimistic, with a 1-year price target of $29.41 (5.1% upside).
  • Volatility is elevated (27.24% annualized), implying wide price swings.
  • The fundamental story is nuanced: solid revenue growth (3.60% YoY) alongside significant competitive pressures.

Here's What You Need to Know Right Now

Concise, actionable context

Trend posture
Short-term pullback in long-term uptrend
Analyst 1Y target29.415.1%
Volatility (30d ann.)27.2376High
RSI (14-day)
65.80 (Neutral)
Debt$159.56B (124.18 D/E)

AT&T Inc. - Historical Price & Volume

$27.98
+12.77 (+83.95%)
Price
Volume
Current Price Line
Range: 2Y

Market Cap

$198.54B

Enterprise Value: $354.46B

P/E Ratio

9.21

Forward P/E: 10.99

Revenue Growth

+3.60%

Year over Year

Analyst Target

$29.41

+5.1% upside potential

Key Investor Questions

Clarity over jargon

Is now a good time to buy?
  • Technicals say: Neutral (RSI 65.80)
  • Fundamentals say: Caution warranted (high leverage concerns)
Can its core operations drive future growth?
  • Future growth will depend on performance in core Telecom Services operations.
  • The ability to manage competitive pressures will be crucial for sustained growth.
What are the biggest risks?
  • $159.56B in debt could be a headwind in a high-rate environment.
  • Fierce competition from established players in Telecom Services.

Trading Range

52-Week Low$22.95
52-Week High$29.79
Current Price$27.98

Over the past year, the stock traded between $22.95 and $29.79—recovering meaningfully from lows and currently near the higher end. Big swings are likely unless a major catalyst emerges.

Volatility

30-Day Volatility27.24%
Beta0.61
RSI (14-day)65.80

With 27.24% annualized volatility and β=0.61, the stock exhibits low sensitivity to market moves—suitable for investors comfortable with active risk management.

Ownership Snapshot

Insider Ownership8.80%
Institutional Ownership67.70%
Shares Short130.07M

High institutional backing, but elevated short interest signals a potential battleground stock.

Analyst Sentiment

Mean Target
$29.41
Upside Potential
5.1%
Recommendation
buy
Analyst target of $29.41 suggests modest upside with 5.1% potential gain.

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Frequently Asked Questions

Common investor questions about AT&T Inc.

AT&T Inc. (T) is currently trading at $27.98. The RSI (14-day) is at 65.8, indicating neutral territory. Wall Street analysts have a consensus "buy" recommendation. The mean analyst price target of $29.41 implies 5.1% upside from current levels. Volatility is moderate at 27.2% annualized, meaning price movements are relatively contained. Investors should consider their risk tolerance, investment horizon, and portfolio diversification before making a decision.

Based on current valuation metrics for AT&T Inc. (T): The trailing P/E ratio is 9.21, which is below the market average of ~20-22, suggesting the stock may be undervalued relative to peers. The forward P/E is 10.99. The PEG ratio is 1.61, near 1.0, suggesting roughly fair value relative to growth. Price-to-Book is 1.78. Price-to-Sales is 1.58. Valuation should be compared to Telecom Services industry peers for context, as different sectors trade at different multiples.

Based on 23 analysts covering T, the consensus price target is $29.41. This represents a 5.1% upside from the current price of $27.98. The range spans from a low target of $20.00 to a high target of $34.00, reflecting varying levels of optimism among analysts. The consensus recommendation is "buy". Note: Analyst price targets are forward-looking estimates and not guarantees of future performance.

Yes, AT&T Inc. (T) pays a dividend with a current yield of approximately 3.97%. The annualized dividend rate is $1.11 per share. The payout ratio is 27.4%, which is conservative and suggests the dividend is well-covered by earnings with room for future increases. The most recent ex-dividend date was 2026-01-12.

Key risks for AT&T Inc. (T) investors include: 1. Moderate volatility (27.2% annualized)—price swings are notable. 2. Elevated debt levels (D/E ratio of 124.18) which could pressure margins in a rising rate environment. 3. Broader market and macroeconomic risks (interest rates, inflation, geopolitical events). 4. Telecom Services sector-specific competitive pressures. Investors should diversify and consider their risk tolerance before investing.

Here is AT&T Inc.'s (T) current debt and financial health profile: Total debt stands at $159.56B. The debt-to-equity ratio is 124.18, which is elevated and warrants monitoring, especially in a rising interest rate environment. The current ratio is 0.91, which is below 1.0 and may indicate short-term liquidity concerns. The quick ratio is 0.60. The company holds $18.23B in cash and equivalents. Free cash flow is positive at $12.59B, providing a cushion for debt servicing and shareholder returns.