VERIZON COMMUNICATIONS INC (VZ)

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CIK 0000732712 · NYSE · Telephone Communications (No Radiotelephone)

  • Sector Transportation & Utilities
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, VERIZON COMMUNICATIONS INC reported revenue of $138.19B, up 2.5% from the prior year. The company was profitable, with a net margin of 12.4%.

Key ratios (FY2025)

21.2%
Operating margin
12.4%
Net margin
16.2%
Return on equity
+2.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$138.19B$134.79B$133.97B$136.84B$133.61B$128.29B$131.87B$130.86B$126.03B$125.98B
Cost of Revenue$22.15B$22.24B
Operating Income$29.26B$28.69B$22.88B$30.47B$32.45B$28.80B$30.38B$22.28B$27.43B$29.25B
Net Income$17.17B$17.51B$11.61B$21.26B$22.07B$17.80B$19.27B$15.53B$30.10B$13.13B
EPS (Diluted)$4.06$4.14$2.75$5.06$5.32$4.30$4.65$3.76$7.36$3.21
Total Assets$404.26B$384.71B$380.25B$379.68B$366.60B$316.48B$291.73B$264.83B$257.14B$244.18B
Shareholders' Equity$105.74B$100.58B$93.80B$92.46B$83.20B$69.27B$62.84B$54.71B$44.69B$24.03B
Cash & Equivalents$19.05B$4.19B$2.06B$2.60B$2.92B$22.17B$2.59B$2.75B$2.08B$2.88B
Operating Cash Flow$37.14B$36.91B$37.48B$37.14B$39.54B$41.77B$35.75B$34.34B$24.32B$21.69B
Capital Expenditures$16.66B$17.25B$17.06B
Shares Outstanding4.23B4.22B4.21B4.20B4.15B4.14B4.14B4.13B4.09B4.09B
Dividends Per Share$2.73$2.69$2.63$2.58$2.54$2.48$2.44$2.38$2.33$2.29