$AT&T Inc(T)$
$AT&T Inc (T) Climbs +1.87% to $24.50, Dividend Yield Shines at 4.53%, $26.57 Resistance in Sight 🚀
Latest Close Data: AT&T closed at $24.50 on Aug 12, 2026, gaining +1.87%. The stock is recovering from recent lows, still trading -17.76% below its 52-week high of $29.79.
Core Market Drivers: The rebound is fueled by a strong valuation defense and robust dividend appeal. With a TTM P/E ratio of just 8.07, AT&T remains a deep-value play compared to the broader market. However, competitive concerns linger as SpaceX’s Starlink signaled aggressive expansion into mobile services, threatening traditional telecom carriers.
Technical Analysis: Bullish momentum is accelerating. The MACD histogram is positive and rising, with DIF (0.432) crossing well above DEA (0.328), confirming a Golden Cross signal. The 6-day RSI has surged to 72.79, entering overbought territory but reflecting strong buying pressure. Volume totaled 35.14M shares, supporting the upside move.
Key Price Levels: The immediate pivot stands at $24.05 (yesterday’s close). Primary support is at $22.61, while strong resistance aligns with the recent ceiling at $26.57.
Valuation Perspective: The P/E TTM of 8.07 is well below the historical average Forward PE of 10.36, suggesting the stock is undervalued relative to its own history. The P/S ratio is a modest 1.32.
Analyst Targets: Analyst consensus remains bullish. Among 26 analysts, the average target price is $28.43, with ratings skewed positively (7 Strong Buy, 8 Buy, 13 Hold, 1 Underperform).
Weekly Outlook: The chart shows a bullish breakout attempt. If the stock sustains above the $24.50 pivot, expect a test of the $26.57 resistance. Failure to hold could lead to consolidation back towards the $23.98 low.
⚠️ Disclaimer: This analysis is for informational purposes only and does not constitute financial advice. Trading involves substantial risk. Please conduct your own research before investing.
🎯$AT&T Inc (T) Options Strategy: Bull Put Spread
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Underlying: T (AT&T)
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View: Cautiously Bullish / Short-term rebound from oversold conditions.
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Strategy Type: Credit Spread (Sell Volatility / Theta Capture)
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Option Contract Portfolio:
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Sell 1x T 20260821 24.5 Put @ $0.42 Credit
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Buy 1x T 20260821 23.0 Put @ $0.05 Debit
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Max Gain & Loss:
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Max Gain: $0.37 (Net Credit)
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Max Loss: $1.13 (Width of Strikes - Net Credit)
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Initial Cost/Credit: $0.37 Credit.
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