AT&T Inc. (NYSE:T) shares traded -0.70% during the most recent session the stock exchanged hands 24.99M shares versus average trading capacity of 19.67M shares, yielding a market cap of $242.15B. Wall Street analysts covering the stock are projecting that the stock will reach $42.45 within the next 52-weeks. The mean target projections are based on 20 opinions, the mean target was last revised on 04/26/17.

Taking a broader look brokerage firms’ analysts on the street with an expectant view have AT&T Inc. (NYSE:T) high price target of $48.00 and with a conservative view have low price target of $36.00 with a standard deviation of $2.37. If seeing target price from optimistic overview then it has a 21 percent upside potential from the latest closing price of $36.93.

AT&T Inc. (NYSE:T) received “Reiterated” rating by RBC Capital Mkts in a research note issued to investors on Jan-26-17 as Sector Perform from $39 to $42.

Additionally on Jan-26-17 AT&T Inc. (NYSE:T) was “Reiterated” by FBR & Co. as Mkt Perform from $42 to $44 and on Dec-12-16 the stock was “Upgraded” by Robert W. Baird from Neutral to Outperform from $39 to $44. Furthermore on Nov-14-16 the stock was “Reiterated” by Deutsche Bank as Buy from $45 to $41.

On the other hand the company has Relative Strength Index (RSI 14) of 33.82 along with Average True Range (ATR 14) of 0.45, Consequently AT&T Inc. (NYSE:T) weekly and monthly volatility is 1.32%, 1.05% respectively. The company’s beta value is at 0.39.

In terms of Buy, Sell or Hold recommendations, AT&T Inc. (NYSE:T) has analysts’ mean recommendation of 2.60. This is according to a simplified 1 to 5 scale where 1 represents a Strong Buy and 5 a Strong Sell.

Analysts who have weighed in on projected earnings growth are expecting that AT&T Inc. (NYSE:T) will report earnings of $0.74 for the current quarter, however the company’s high EPS estimates are $0.78 and low estimates are $0.71. However the company reported $0.72 earnings per share for the same quarter during last year.

Previously AT&T Inc. (NYSE:T) reported $0.74 earnings per share (EPS) for the quarter on 4/25/2017 After Market Close, meeting the consensus estimate of $0.74 by $0.00. The company posted an earnings surprise of 0.00%.

While considering growth estimates of the company, it has next quarter growth estimates of 2.70% whereas during current quarter it has 2.80% estimations over growth, comparing to the estimations of 2.80% during current year and 2.70% for next year. Past 5 years growth of AT&T Inc. (NYSE:T) observed at 4.17%, looking forward for the next 5 years it has a strong prediction of 7.42% over growth.

AT&T Inc. (NYSE:T) revenue estimates for the current quarter are $39.92B according to 20 number of analysts, for the current quarter the company has high revenue estimates of $40.75B in contradiction of low revenue estimates of $39.13B. For the current year the company’s revenue estimates are $162.41B compared to low analyst estimates of $159.08B and high estimates of $167.48B according 27 number of analysts.

Currently AT&T Inc. (NYSE:T) shares owned by insiders are 0.05%, whereas shares owned by institutional owners are 56.70%. However the six-month change in the insider ownership was recorded 0.00%, as well as three-month change in the institutional ownership was recorded -0.05%.

AT&T Inc. (NYSE:T) trading -6.08% away from its 52 week high of $42.20 and +12.38% far from the stock’s low point over the past 52 weeks, which was $35.26. The stock hit its 52-week high on 07/05/16, and 52-week low on 11/14/16. The company’s trailing twelve month income is 12.64B dollars and is paying 4.95% dividend yield annually.

AT&T Inc. (NYSE:T) trailing twelve month revenues are $162.62B, whereas its price to sales ratio for the same period is 1.51. Its book value per share for the most recent quarter is $20.08 while its price to book ratio for the same period is 1.97, as for as the company’s cash per share for the most recent quarter is $2.40, however its price to cash per share ratio for the same period is 16.50. The stock has a current PEG ratio of 2.61 where as its trailing twelve month P/E ratio is 19.39.