Telefonica Brasil S.A., (VIV) has a PEG ratio of 87.12, above the Telecommunications sector average of -6.72.
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+ Follow87.12
The PEG ratio measures a stock's valuation relative to its earnings growth rate. A PEG ratio below 1.0 may indicate that the stock is undervalued relative to its growth potential.
The latest PEG ratio for VIV is 87.12. That is above the Telecommunications sector average of -6.72. Investors often review this figure alongside Telefonica Brasil S.A.,'s historical trend and sector peers before judging valuation or financial health.
Against Telecommunications companies, VIV currently prints 87.12 for PEG ratio, while the sector average sits near -6.72. That is roughly 1396.7% above the sector mean. Large gaps often invite a closer look at Telefonica Brasil S.A.,'s growth, margins, and balance sheet.
A PEG ratio of 87.12 for Telefonica Brasil S.A., is not 'good' or 'bad' on its own. Compare it with the peer average (-6.72) and with VIV's multi-year chart on this page. Persistently elevated multiples need growth or quality to justify them; depressed multiples need a catalyst or evidence the business is misunderstood.
After noting VIV's PEG ratio (87.12), review year-over-year change, peer averages, and a few neighboring metrics such as revenue, margins, or valuation multiples. That combination usually beats staring at a single figure. The navigation links on this page jump you to those related views.
This page's peer comparison chart is the fastest way to stack Telefonica Brasil S.A.,'s PEG ratio against similar Telecommunications names. You can also browse sector and industry screens on Stockcircle for a broader set of Telecommunications companies and their key multiples and fundamentals.