Today
+0.21%
5 Days
+4.23%
1 Month
+9.45%
6 Months
-16.90%
Year to Date
-6.31%
1 Year
-14.98%
• Post-IPO lockup expirations increased circulating float and created persistent selling pressure. • High valuation multiples and capital intensity prompted institutional cash flow scrutiny. • Leveraged exchange-traded funds accelerated intraday volatility during market downturns.
• T-Mobile's financial results exceeded consensus estimates for key performance indicators. • Fixed wireless access expansion is capturing market share from traditional cable providers. • Management raised full-year guidance, projecting improved free cash flow and synergy realization.
• Comcast reported a contraction in high-speed internet subscribers during the second quarter. • Increasing competitive threats and operational costs pressure the media and theme park segments. • Analysts lowered price targets amid concerns over network infrastructure spending and subscriber losses.
• Verizon stock declined following its removal from the Dow Jones Industrial Average. • The company expects significant second-quarter losses from restructuring and asset rationalization charges. • Verizon committed $3.2 billion to acquire spectrum licenses amid increasing satellite service competition.
• Oppenheimer downgraded AT&T from Outperform to Perform citing increased competition from satellite broadband. • Analysts expressed concerns regarding lower fiber penetration rates and potential legacy lead cable liabilities. • AT&T announced the retirement of its Chief Financial Officer effective at year-end.
• SpaceX’s planned satellite mobile service creates competitive pressure on traditional wireless carriers. • Comcast’s spin-off announcement triggered a broader sell-off across the telecommunications sector. • T-Mobile faces potential churn after forcing customers onto higher-priced service plans.


| Shareholders | Proportion |
|---|---|
| Vanguard Capital Management, LLC | 6.54% |
| State Street Investment Management (US) | 5.24% |
| BlackRock Institutional Trust Company, N.A. | 5.18% |
| Capital World Investors | 3.94% |
| Shareholder Types | Proportion |
|---|---|
| Investment Advisor | 49.22% |
| Investment Advisor/Hedge Fund | 26.94% |
| Research Firm | 4.01% |
| Pension Fund | 2.68% |
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