T Invested Capital Over Time

T -- USA Stock  

USD 33.15  0.63  1.94%

With this module investors can use any or all of fundamental ratio historical patterns as a complementary method for asset selection as well a as a tool for deciding entry and exit points. Many technical investors use fundamentals to limit their universe of possible portfolio assets. Also please take a look at T Performance and T Correlation.

94.3 B169.4 B160.6 B165.3 B165.1 B171.1 B177 B182.8 B196.1 B250.6 B248.9 B248.9 B262.9 B
146.9 B131.2 B145.4 B157.1 B134.7 B139 B139.3 B180.9 B201.6 B195.1 B195.1 B195.1 B229.5 B
6.1 B6.4 B6.9 B17.1 B17 B41.5 B39.2 B39.8 B39.5 B36.9 B36.9 B36.9 B43.4 B
8 B8 B8 B8 B15.5 B15.8 B15.9 B15 B17.9 B23.4 B23.4 B23.4 B27.5 B
9 B5.3 B5.6 B5.5 B5.9 B6 B6.3 B6.1 B6.8 B7 B7.2 B7.2 B7.5 B
6.2 B6.2 B6.2 B6.2 B6.2 B6.2 B6.2 B6.2 B6 B7.2 B8.1 B8.1 B8 B
11.6 B13.3 B12.4 B11.3 B11.4 B16.2 B16.4 B16.4 B20.7 B24 B23.9 B23.9 B25.2 B
2 B3.2 B4.1 B4 B4.5 B5.1 B7.7 B8.4 B11.1 B11.8 B11.2 B11.2 B12.1 B
22 B22 B22 B22 B22 B22 B22 B37.6 B40 B48.4 B49.4 B49.4 B51.5 B

T and related stocks such as Verizon Communications, CenturyLink, Frontier Communications, Telephone and Data, Zayo Group Holdings, Level 3 Communications, Liberty Broadband, SBA Communications, T Mobile US Invested Capital description

Invested capital represents the total cash investment that shareholders and debt holders have contributed to T. There are two different methods for calculating T invested capital: operating approach and financing approach. Understanding ##company1# invested capital allows investors to calculate measures of performance such as return on invested capital or return on capital employed. Invested capital is an input into the calculation of Return on Invested Capital, and is calculated as: Total Debt plus Total Assets minus Goodwill and Intangible Assets minus Cash and Equivalents minus Current Liabilities. Please note this calculation method is subject to change.

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Fama & French Communication
Fama & French Classification
RegionNorth America
ExchangeBATS Exchange
Also please take a look at T Performance and T Correlation. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.