AMT - American Tower Corporation
The world's largest cell tower REIT, owning and leasing wireless infrastructure across the US and international markets — a beneficiary of the relentless demand for mobile connectivity.
Finlify Score
50.9 / 100
Data Quality
FULL
Penalty
0.0
Sector
Real Estate
Close Price
$185.76
-0.76%
52W Range
$165.08 - $234.33
Market Cap
$87.1B
-0.8%Compared to previous day
2026 Q1 Revenue
$2.7B
0.0%Changes from last reporting quarter
2026 Q1 EPS
$1.84
Diluted shares
Analyst Rating
29 analysts in latest ratings feed
RSI
51.2
40-70 moderate
2Y Range Position
26%
-23.7% from high / +12.5% from low
Beta
0.89
Relative to market benchmark
MACD
-0.27
MACD line 2.46 / signal line 2.73
Fundamental Trend
Growth 61.3Financial Health
Quality 71.1Data Quality
FULLValuation Reference
Price Chart
Close price, two-year source window
Finlify Score
HOLD50.9 / 100
Score History
Finlify Score and component trend
Financial Statements
Calendar year view. Figures are estimates only. For official figures, refer to the company website.
| 2026 Q1 | 2025 Q4 | 2025 Q3 | 2025 Q2 | |
|---|---|---|---|---|
| Revenue | $2.7B0.0% | $2.7B+0.7% | $2.7B+3.4% | $2.6B+2.5% |
| Gross Profit | - | - | - | - |
| Operating Income | $1.2B+6.8% | $1.2B-5.9% | $1.2B+3.0% | $1.2B-4.5% |
| Net Income | $879M+5.0% | $837M-8.3% | $913M+139.8% | $381M-23.7% |
Columns use the calendar quarter of each reported period end date. QoQ is shown for adjacent company reporting quarters only.
AI Signal
Generated Jun 16, 2026
Finlify's signal for AMT on 2026-06-12 is HOLD, supported by an overall Finlify Score of 53.2/100, which suggests a balanced outlook for the asset.
Technical
The asset's Relative Strength score of 32.4/100 appears modest, while Accumulation / Volume at 57.5/100 indicates some buying interest. AMT has experienced a 20-day return of 9.8% and a 60-day return of 3.6%, with its RSI(14) at 53.0, suggesting it is not in overbought or oversold territory. The asset is also trading relatively close to its 52-week high, at -3.8%.
Fundamentals
Fundamental Trend is rated at 61.3/100 and Financial Quality at 71.1/100, which may indicate generally sound underlying financials. However, valuation multiples appear elevated, with a P/E of 34.6x, P/B of 22.6x, and P/S of 8.2x. The asset offers a Dividend Yield of 3.69% and has a Beta of 0.9, suggesting slightly lower volatility than the broader market.
Macro Context
The current macro environment, characterized by a CPI YoY of 4.3% and a 10Y Treasury Yield of 4.5%, may present headwinds for real estate assets like AMT, as higher interest rates can impact financing costs and valuations.
Key Risks
- Elevated valuation multiples (P/E 34.6x, P/B 22.6x, P/S 8.2x) may suggest limited upside potential.
- The relatively low Relative Strength score of 32.4/100 indicates potential underperformance compared to peers.
- A higher interest rate environment, with the 10Y Treasury Yield at 4.5%, could negatively impact real estate sector valuations.