VIV Factor Report

Data as of market close on: 9/9/2024.

Fundamental analysis of VIV using the major investing factors, including value, quality, momentum, and low volatility.
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TELEFONICA BRASIL SA (ADR) (VIV) Fundamentals

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Latest Close: $9.72 Market Cap ($ mil): $16,037 Sector: Services Industry: Communications Services 52 Week High: $11.22 52 Week Low: $8.02 Relative Strength: 67 Twelve Minus One Return: 9.1% Standard Deviation: 28.6% Insider Ownership: 0.00%
PE Ratio: 17.3 Price/Sales: 1.7 Price/Book: 1.3 Price/Cash Flow: 4.7 EV/EBITDA: 4.87 Dividend Yield: 4.87% Shareholder Yield: 5.51% Piotroski F Score: 8 Mohanram G Score: 6 Institutional Ownership: 5.33%
Return on Equity: 7.5% Return on Assets: 4.3% Return on Tangible Capital: 16.0% Return on Invested Capital: 8.4% WACC: 6.4% Debt/Equity: 0.27 LT EPS Growth: -0.9% LT Sales Growth: 4.8% Beta: 0.75 Profit Margin: 9.68%
Telefonica Brasil S.A. is a mobile telecommunications company in Brazil offering postpaid mobile services. The Company also operates as a fixed telecommunications company in the state of Sao Paulo. The Company markets its mobile services under its Vivo brand. It offers its clients a portfolio of products, including mobile and fixed voice, mobile data, fixed broadband, ultra-fast broadband, Pay television, information technology and digital services. Its operations consist of local and long distance fixed telephone services; mobile services, including value-added services; data services, including broadband services and mobile data services; Pay television services through direct to home (DTH), Internet protocol television (IPTV) and cable; network services, such as rental of facilities, as well as other services; wholesale services, including interconnection; digital services; services designed specifically for corporate customers, and the sale of wireless devices and accessories.

Factor Profile

VIV's exposure to the major factors (100 is highest).

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