As of September 25, 2026, AT&T Inc. (T) trades at $25.40. Equity Rank's blended estimate across 12 valuation models with sufficient data is $28.86 — a model fair value differential of 13.6% above the current price under these model assumptions. Model-derived estimate, informational only — not investment advice.
AT&T Inc. (T) is next scheduled to report earnings on Oct 21, 2026 (before market open). The consensus analyst EPS estimate for the upcoming quarter is $0.62.
Heading into this report, the model's fair value estimate sits 13.6% above the current price (model fair value differential above current price). Descriptive context only — not a forecast of the earnings result.
Equity Rank computed model fair value for T from 12 independent valuation methods with sufficient data. 9 place fair value above the current price of $25.40, and 3 place it below. The model-blended estimate lands at $28.86 — a model fair value differential of 13.6% above the current price under these model assumptions. The larger group corresponds to potential undervaluation versus the current price.
Equity Rank's fundamental strength composite scores T at 73.0/100 (B+, Strong), blending profitability, balance-sheet, and cash-flow quality. Over the trailing three years, free cash flow has compounded at +16.2% per year and gross margin has moved +1.7 pp. Its SAVE composite score has moved +0.6 over the past 30 days.
Equity Rank's intrinsic value estimate for AT&T Inc. (T) — the model fair value — is $28.86 as of September 25, 2026, blended from 12 valuation methods with sufficient data. An intrinsic value estimate is what the models compute a share to be worth under stated assumptions; it is not a price target, not a prediction of where the stock will trade, and not investment advice.
Equity Rank calculates fair value for T by blending 19 valuation methods (8–15 run per security depending on data availability), including DCF, Graham Number, Price-to-Free-Cash-Flow, EPV, Three-Stage DCF, DDM, Residual Income, and Justified Price-to-Book. Each model is weighted by historical sector accuracy and updated regularly. Informational only — not investment advice.
AT&T Inc. (T) is analyzed on Equity Rank using the S·A·V·E framework: Sentiment, Analyst consensus, Valuation (DCF, Graham, multiples), and Earnings quality. The consensus fair value is a blend of multiple models designed to surface potential mispricings versus current market price.
AT&T Inc. (T) is classified in the Communication Services sector on Equity Rank, and its valuation methods are weighted with sector-calibrated multiples.
Equity Rank provides institutional-depth valuation research on 3,000+ US equities. Data is refreshed daily and combines quantitative models with AI-driven qualitative analysis.
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