The stock of Telefonica Brasil S.A. (VIV) has gone down by 0.00% for the week, with a 5.57% rise in the past month and a 11.43% rise in the past quarter. The volatility ratio for the week is 1.65%, and the volatility levels for the past 30 days are 1.97% for VIV.. The simple moving average for the past 20 days is 0.84% for VIV’s stock, with a 8.76% simple moving average for the past 200 days.
Is It Worth Investing in Telefonica Brasil S.A. (NYSE: VIV) Right Now?
The price-to-earnings ratio for Telefonica Brasil S.A. (NYSE: VIV) is 16.58x, which is above its average ratio. Moreover, the 36-month beta value for VIV is 0.51. Analysts have varying opinions on the stock, with 8 analysts rating it as a “buy,” 0 as “overweight,” 5 as “hold,” and 1 as “sell.”
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The average price recommended by analysts for Telefonica Brasil S.A. (VIV) is $9.64, which is $1.46 above the current market price. The public float for VIV is 426.41M and currently, short sellers hold a 0.93% of that float. On May 26, 2023, VIV’s average trading volume was 1.68M shares.
VIV) stock’s latest price update
Telefonica Brasil S.A. (NYSE: VIV)’s stock price has gone rise by 1.21 in comparison to its previous close of 8.24,
VIV Trading at 5.03% from the 50-Day Moving Average
After a stumble in the market that brought VIV to its low price for the period of the last 52 weeks, the company was unable to rebound, for now settling with -22.23% of loss for the given period.
Volatility was left at 1.97%, however, over the last 30 days, the volatility rate increased by 1.65%, as shares surge +1.34% for the moving average over the last 20 days. Over the last 50 days, in opposition, the stock is trading +11.05% upper at present.
During the last 5 trading sessions, VIV remain unchanged, which changed the moving average for the period of 200-days by -7.95% in comparison to the 20-day moving average, which settled at $8.28. In addition, Telefonica Brasil S.A. saw 18.79% in overturn over a single year, with a tendency to cut further gains.
Stock Fundamentals for VIV
Current profitability levels for the company are sitting at:
- +11.20 for the present operating margin
- +38.01 for the gross margin
The net margin for Telefonica Brasil S.A. stands at +8.50. The total capital return value is set at 6.16, while invested capital returns managed to touch 5.05. Equity return is now at value 6.10, with 3.40 for asset returns.
Based on Telefonica Brasil S.A. (VIV), the company’s capital structure generated 28.22 points at debt to equity in total, while total debt to capital is 22.01. Total debt to assets is 16.20, with long-term debt to equity ratio resting at 19.42. Finally, the long-term debt to capital ratio is 15.14.
When we switch over and look at the enterprise to sales, we see a ratio of 1.72, with the company’s debt to enterprise value settled at 0.24. The receivables turnover for the company is 3.90 and the total asset turnover is 0.41. The liquidity ratio also appears to be rather interesting for investors as it stands at 0.78.
To wrap up, the performance of Telefonica Brasil S.A. (VIV) has been better in recent times. The stock has received a bullish of “buy” and “hold” ratings from analysts. It’s important to note that the stock is currently trading at a significant distance from its 50-day moving average and its 52-week high.