TELEFONICA BRASIL-ADR (VIV) Fundamental Analysis & Valuation
NYSE:VIV • US87936R2058
Current stock price
15.21 USD
-0.47 (-3%)
At close:
15.34 USD
+0.13 (+0.85%)
Pre-Market:
This VIV fundamental analysis includes valuation metrics, fair value assessment, financial health analysis, profitability trends, growth metrics and dividend sustainability analysis.
1. VIV Profitability Analysis
1.1 Basic Checks
- In the past year VIV was profitable.
- VIV had a positive operating cash flow in the past year.
- In the past 5 years VIV has always been profitable.
- VIV had a positive operating cash flow in each of the past 5 years.
1.2 Ratios
- VIV has a better Return On Assets (4.82%) than 75.68% of its industry peers.
- VIV has a better Return On Equity (8.98%) than 67.57% of its industry peers.
- With an excellent Return On Invested Capital value of 7.97%, VIV belongs to the best of the industry, outperforming 89.19% of the companies in the same industry.
- VIV had an Average Return On Invested Capital over the past 3 years of 7.05%. This is in line with the industry average of 6.00%.
- The 3 year average ROIC (7.05%) for VIV is below the current ROIC(7.97%), indicating increased profibility in the last year.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| ROA | 4.82% | ||
| ROE | 8.98% | ||
| ROIC | 7.97% |
ROA(3y)4.47%
ROA(5y)4.45%
ROE(3y)8.05%
ROE(5y)7.81%
ROIC(3y)7.05%
ROIC(5y)6.21%
1.3 Margins
- VIV's Profit Margin of 10.35% is fine compared to the rest of the industry. VIV outperforms 72.97% of its industry peers.
- In the last couple of years the Profit Margin of VIV has remained more or less at the same level.
- VIV has a Operating Margin of 16.45%. This is in the better half of the industry: VIV outperforms 70.27% of its industry peers.
- VIV's Operating Margin has improved in the last couple of years.
- The Gross Margin of VIV (44.75%) is worse than 70.27% of its industry peers.
- VIV's Gross Margin has been stable in the last couple of years.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| OM | 16.45% | ||
| PM (TTM) | 10.35% | ||
| GM | 44.75% |
OM growth 3Y7.77%
OM growth 5Y6.57%
PM growth 3Y6.77%
PM growth 5Y-1.32%
GM growth 3Y1.42%
GM growth 5Y-1.14%
2. VIV Health Analysis
2.1 Basic Checks
- The Return on Invested Capital (ROIC) is below the Cost of Capital (WACC), so VIV is destroying value.
- Compared to 1 year ago, VIV has less shares outstanding
- Compared to 5 years ago, VIV has more shares outstanding
- The debt/assets ratio for VIV has been reduced compared to a year ago.
2.2 Solvency
- VIV has an Altman-Z score of 2.05. This is not the best score and indicates that VIV is in the grey zone with still only limited risk for bankruptcy at the moment.
- Looking at the Altman-Z score, with a value of 2.05, VIV is in the better half of the industry, outperforming 78.38% of the companies in the same industry.
- VIV has a debt to FCF ratio of 1.81. This is a very positive value and a sign of high solvency as it would only need 1.81 years to pay back of all of its debts.
- VIV has a Debt to FCF ratio of 1.81. This is amongst the best in the industry. VIV outperforms 94.59% of its industry peers.
- A Debt/Equity ratio of 0.22 indicates that VIV is not too dependend on debt financing.
- With an excellent Debt to Equity ratio value of 0.22, VIV belongs to the best of the industry, outperforming 83.78% of the companies in the same industry.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| Debt/Equity | 0.22 | ||
| Debt/FCF | 1.81 | ||
| Altman-Z | 2.05 |
ROIC/WACC0.55
WACC14.43%
2.3 Liquidity
- A Current Ratio of 1.00 indicates that VIV may have some problems paying its short term obligations.
- VIV has a worse Current ratio (1.00) than 64.86% of its industry peers.
- A Quick Ratio of 0.94 indicates that VIV may have some problems paying its short term obligations.
- The Quick ratio of VIV (0.94) is worse than 64.86% of its industry peers.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| Current Ratio | 1 | ||
| Quick Ratio | 0.94 |
3. VIV Growth Analysis
3.1 Past
- The Earnings Per Share has grown by an nice 11.54% over the past year.
- Measured over the past 5 years, VIV shows a small growth in Earnings Per Share. The EPS has been growing by 6.28% on average per year.
- Looking at the last year, VIV shows a small growth in Revenue. The Revenue has grown by 6.71% in the last year.
- VIV shows a small growth in Revenue. Measured over the last years, the Revenue has been growing by 6.68% yearly.
EPS 1Y (TTM)11.54%
EPS 3Y15.45%
EPS 5Y6.28%
EPS Q2Q%1.85%
Revenue 1Y (TTM)6.71%
Revenue growth 3Y7.45%
Revenue growth 5Y6.68%
Sales Q2Q%7.06%
3.2 Future
- VIV is expected to show quite a strong growth in Earnings Per Share. In the coming years, the EPS will grow by 16.68% yearly.
- Based on estimates for the next years, VIV will show a small growth in Revenue. The Revenue will grow by 7.47% on average per year.
EPS Next Y45.87%
EPS Next 2Y31.63%
EPS Next 3Y28.07%
EPS Next 5Y16.68%
Revenue Next Year6.03%
Revenue Next 2Y5.77%
Revenue Next 3Y5.71%
Revenue Next 5Y7.47%
3.3 Evolution
- The EPS growth rate is accelerating: in the next years the growth will be better than in the last years.
- The Revenue growth rate is stable: in the next years the growth will be about the same than in the last years.
4. VIV Valuation Analysis
4.1 Price/Earnings Ratio
- With a Price/Earnings ratio of 20.01, VIV is valued on the expensive side.
- 67.57% of the companies in the same industry are more expensive than VIV, based on the Price/Earnings ratio.
- Compared to an average S&P500 Price/Earnings ratio of 26.54, VIV is valued a bit cheaper.
- A Price/Forward Earnings ratio of 13.77 indicates a correct valuation of VIV.
- Based on the Price/Forward Earnings ratio, VIV is valued a bit cheaper than 70.27% of the companies in the same industry.
- VIV's Price/Forward Earnings ratio indicates a valuation a bit cheaper than the S&P500 average which is at 21.68.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| PE | 20.01 | ||
| Fwd PE | 13.77 |
4.2 Price Multiples
- VIV's Enterprise Value to EBITDA ratio is rather cheap when compared to the industry. VIV is cheaper than 81.08% of the companies in the same industry.
- Based on the Price/Free Cash Flow ratio, VIV is valued a bit cheaper than the industry average as 67.57% of the companies are valued more expensively.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| P/FCF | 10.76 | ||
| EV/EBITDA | 5.43 |
4.3 Compensation for Growth
- The low PEG Ratio(NY), which compensates the Price/Earnings for growth, indicates a rather cheap valuation of the company.
- The decent profitability rating of VIV may justify a higher PE ratio.
- VIV's earnings are expected to grow with 28.07% in the coming years. This may justify a more expensive valuation.
PEG (NY)0.44
PEG (5Y)3.19
EPS Next 2Y31.63%
EPS Next 3Y28.07%
5. VIV Dividend Analysis
5.1 Amount
- VIV has a Yearly Dividend Yield of 1.99%. Purely for dividend investing, there may be better candidates out there.
- VIV's Dividend Yield is a higher than the industry average which is at 2.22.
- VIV's Dividend Yield is comparable with the S&P500 average which is at 1.82.
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| Dividend Yield | 1.99% |
5.2 History
- The dividend of VIV decreases each year by -26.28%.
- VIV has been paying a dividend for at least 10 years, so it has a reliable track record.
- VIV has decreased its dividend recently.
Dividend Growth(5Y)-26.28%
Div Incr Years1
Div Non Decr Years1
5.3 Sustainability
- VIV pays out 35.46% of its income as dividend. This is a sustainable payout ratio.
DP35.46%
EPS Next 2Y31.63%
EPS Next 3Y28.07%
VIV Fundamentals: All Metrics, Ratios and Statistics
15.21
-0.47 (-3%)
Chartmill FA Rating
GICS SectorCommunication Services
GICS IndustryGroupTelecommunication Services
GICS IndustryDiversified Telecommunication Services
Industry StrengthN/A
Industry GrowthN/A
Earnings (Last)02-23 2026-02-23/bmo
Earnings (Next)05-11 2026-05-11/amc
Inst Owners13.15%
Inst Owner Change1.06%
Ins OwnersN/A
Ins Owner Change0%
Market Cap24.30B
Revenue(TTM)59.59B
Net Income(TTM)6.17B
Analysts72
Price Target16.95 (11.44%)
Short Float %1.88%
Short Ratio6.64
Dividend
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| Dividend Yield | 1.99% |
Yearly Dividend0.27
Dividend Growth(5Y)-26.28%
DP35.46%
Div Incr Years1
Div Non Decr Years1
Ex-Date05-22 2026-05-22 (0.476183)
Surprises & Revisions
EPS beat(2)1
Avg EPS beat(2)6.74%
Min EPS beat(2)-1.08%
Max EPS beat(2)14.56%
EPS beat(4)1
Avg EPS beat(4)1.29%
Min EPS beat(4)-5.9%
Max EPS beat(4)14.56%
EPS beat(8)3
Avg EPS beat(8)-1.52%
EPS beat(12)6
Avg EPS beat(12)1.82%
EPS beat(16)7
Avg EPS beat(16)-0.97%
Revenue beat(2)0
Avg Revenue beat(2)-2.5%
Min Revenue beat(2)-2.75%
Max Revenue beat(2)-2.26%
Revenue beat(4)0
Avg Revenue beat(4)-2.57%
Min Revenue beat(4)-2.75%
Max Revenue beat(4)-2.26%
Revenue beat(8)0
Avg Revenue beat(8)-2.68%
Revenue beat(12)0
Avg Revenue beat(12)-2.34%
Revenue beat(16)1
Avg Revenue beat(16)-2.19%
PT rev (1m)9.91%
PT rev (3m)15.66%
EPS NQ rev (1m)0.41%
EPS NQ rev (3m)-7.74%
EPS NY rev (1m)2.21%
EPS NY rev (3m)2.77%
Revenue NQ rev (1m)0.07%
Revenue NQ rev (3m)0.17%
Revenue NY rev (1m)-0.04%
Revenue NY rev (3m)0.16%
Valuation
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| PE | 20.01 | ||
| Fwd PE | 13.77 | ||
| P/S | 2.03 | ||
| P/FCF | 10.76 | ||
| P/OCF | 5.85 | ||
| P/B | 1.76 | ||
| P/tB | 5.84 | ||
| EV/EBITDA | 5.43 |
EPS(TTM)0.76
EY5%
EPS(NY)1.1
Fwd EY7.26%
FCF(TTM)1.41
FCFY9.29%
OCF(TTM)2.6
OCFY17.1%
SpS7.48
BVpS8.63
TBVpS2.61
PEG (NY)0.44
PEG (5Y)3.19
Graham Number12.146 (-20.14%)
Profitability
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| ROA | 4.82% | ||
| ROE | 8.98% | ||
| ROCE | 9.53% | ||
| ROIC | 7.97% | ||
| ROICexc | 8.56% | ||
| ROICexgc | 17.17% | ||
| OM | 16.45% | ||
| PM (TTM) | 10.35% | ||
| GM | 44.75% | ||
| FCFM | 18.89% |
ROA(3y)4.47%
ROA(5y)4.45%
ROE(3y)8.05%
ROE(5y)7.81%
ROIC(3y)7.05%
ROIC(5y)6.21%
ROICexc(3y)7.51%
ROICexc(5y)6.58%
ROICexgc(3y)15.24%
ROICexgc(5y)13.42%
ROCE(3y)8.44%
ROCE(5y)7.45%
ROICexgc growth 3Y13.5%
ROICexgc growth 5Y12.12%
ROICexc growth 3Y15.38%
ROICexc growth 5Y11.05%
OM growth 3Y7.77%
OM growth 5Y6.57%
PM growth 3Y6.77%
PM growth 5Y-1.32%
GM growth 3Y1.42%
GM growth 5Y-1.14%
F-Score8
Asset Turnover0.47
Health
| Industry Rank | Sector Rank | ||
|---|---|---|---|
| Debt/Equity | 0.22 | ||
| Debt/FCF | 1.81 | ||
| Debt/EBITDA | 0.61 | ||
| Cap/Depr | 63.28% | ||
| Cap/Sales | 15.87% | ||
| Interest Coverage | 4.25 | ||
| Cash Conversion | 83.71% | ||
| Profit Quality | 182.56% | ||
| Current Ratio | 1 | ||
| Quick Ratio | 0.94 | ||
| Altman-Z | 2.05 |
F-Score8
WACC14.43%
ROIC/WACC0.55
Cap/Depr(3y)64.91%
Cap/Depr(5y)70.02%
Cap/Sales(3y)16.49%
Cap/Sales(5y)18.24%
Profit Quality(3y)190.36%
Profit Quality(5y)186.65%
High Growth Momentum
Growth
EPS 1Y (TTM)11.54%
EPS 3Y15.45%
EPS 5Y6.28%
EPS Q2Q%1.85%
EPS Next Y45.87%
EPS Next 2Y31.63%
EPS Next 3Y28.07%
EPS Next 5Y16.68%
Revenue 1Y (TTM)6.71%
Revenue growth 3Y7.45%
Revenue growth 5Y6.68%
Sales Q2Q%7.06%
Revenue Next Year6.03%
Revenue Next 2Y5.77%
Revenue Next 3Y5.71%
Revenue Next 5Y7.47%
EBIT growth 1Y16.8%
EBIT growth 3Y15.79%
EBIT growth 5Y13.69%
EBIT Next Year177.79%
EBIT Next 3Y45.21%
EBIT Next 5Y35.09%
FCF growth 1Y6.7%
FCF growth 3Y7.56%
FCF growth 5Y0.37%
OCF growth 1Y4.23%
OCF growth 3Y3.03%
OCF growth 5Y1.38%
TELEFONICA BRASIL-ADR / VIV Fundamental Analysis FAQ
Can you provide the ChartMill fundamental rating for TELEFONICA BRASIL-ADR?
ChartMill assigns a fundamental rating of 6 / 10 to VIV.
What is the valuation status for VIV stock?
ChartMill assigns a valuation rating of 6 / 10 to TELEFONICA BRASIL-ADR (VIV). This can be considered as Fairly Valued.
Can you provide the profitability details for TELEFONICA BRASIL-ADR?
TELEFONICA BRASIL-ADR (VIV) has a profitability rating of 7 / 10.
What are the PE and PB ratios of TELEFONICA BRASIL-ADR (VIV) stock?
The Price/Earnings (PE) ratio for TELEFONICA BRASIL-ADR (VIV) is 20.01 and the Price/Book (PB) ratio is 1.76.
Can you provide the dividend sustainability for VIV stock?
The dividend rating of TELEFONICA BRASIL-ADR (VIV) is 4 / 10 and the dividend payout ratio is 35.46%.