AT&T Inc.(T)Stock Forecast 2027 & Price Targets
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T Stock Forecast Chart

T Stock Forecast 2027: Price Prediction, Price Target & Outlook

Tickzen modelOct 2027 forecast, scaled to the latest close of $24.87

80% of modelled outcomes finish between

$18.95 – $36.97

−24% to +49% from today's $24.87 · 59% chance of finishing above today's price

T Bear Case Forecast 2027

$18.95

−24% vs today

10% probability of finishing below $18.95

T Median Forecast 2027

$26.47

+6.4% vs today

Midpoint of the range, not a price target

T Bull Case Forecast 2027

$36.97

+49% vs today

10% probability of finishing above $36.97

Short-Term Signal: BearishBased on price below its 50-day average and negative MACD momentum. View technical factors →
6M + 12M
  • Historical
  • Forecast median
  • 80% range
Tickzen model
T model forecast
Statistical ranges built from price history alone. No analyst opinions in this part.

T Price Probability

Tickzen's model has a median Oct 2027 outcome of $26.47 (+6.4%) for T. Its 80% modelled range is $18.95 to $36.97.

Median outcome
$26.47
+6.4%
Above today
59%
chance of finishing higher
80% range
$19–$37
−24% to +49% vs today
  • Above today’s price59%
    above $24.87
  • Up 10% or more45%
    above $27.36
  • Up 25% or more27%
    above $31.09
  • Up 50% or more9%
    above $37.31
  • Down 10% or more26%
    below $22.38
  • Down 25% or more9%
    below $18.65
  • Down 50% or more<1%
    below $12.44
  • Today $24.87
  • Model median $26.47
  • Analyst mean $28.84
  • 80% range

Hover the curve for the chance of finishing above any price.

These probabilities reflect the model's historical range distribution, not guaranteed returns.

Scenario Analysis Chart

Monthly T Forecast

Tickzen model, prices in US dollars (USD): low, median and high at each month-end (the last row is the final forecast session, about one year out). The range holds 80% of modelled outcomes.

MonthLowMedianHigh
Nov 2026$21.99$25.12$28.68
Dec 2026$21.40$25.25$29.80
Jan 2027$20.97$25.38$30.72
Feb 2027$20.62$25.50$31.53
Mar 2027$20.28$25.65$32.41
Apr 2027$20.00$25.78$33.22
May 2027$19.76$25.90$33.97
Jun 2027$19.53$26.05$34.74
Jul 2027$19.32$26.18$35.47
Aug 2027$19.13$26.32$36.21
Sep 2027$18.95$26.46$36.94
Oct 2027$18.95$26.47$36.97

Model historical accuracy

In historical tests across 300 stocks and 10 start dates, prices finished inside the model's 80% range about 80% of the time across the tested horizons.

80%
3 months
80%
6 months
82%
12 months

See methodology →

Wall Street analysts
T analyst forecast
What the Wall Street analysts covering the stock say. These are opinions, kept separate from the model.

AT&T Inc. Analyst Consensus & Target Price

Wall Street sentiment and price target analysis for T

BUY

Consensus based on 24 analysts

Mean Target Price
$28.84+16.0%
Median Target$29.13
High Target$36.00
Low Target$20.00
Number of Opinions24

Price Target Analysis

Target Range: $20.00 - $36.00

Current vs Mean Target: +16.0%

Analyst Coverage: 24 firms tracking

What the analysts say

Current26 ratings
3 months ago25 ratings
  • Strong buy 4
  • Buy 12
  • Hold 9
  • Sell 1
  • Strong sell 0

62% of analysts rate it buy or strong buy, up 2 points from 3 months ago.

T analyst actions and price-target changes

Rating moves and price targets published by the firms covering T.

Upgrades / downgrades
2 / 0
last 90 days
Targets raised / cut
5 / 4
last 90 days
Latest median target
$29
8 firms · +14.6% vs today

Price targets since Apr 23, 2026

  • Raised
  • Lowered
  • New target
  • Unchanged
  • Today $24.87

Latest actions

  • ScotiabankTarget cutOct 2, 2026
    Sector PerformTarget $28 (from $29, −6.0%)
  • Morgan StanleyTarget raisedSep 28, 2026
    OverweightTarget $28 (from $27, +3.7%)
  • BNP ParibasUpgradeSep 21, 2026
    Neutral → OutperformTarget $30 (from $26, +15.4%)
  • Wolfe ResearchUpgradeJul 23, 2026
    Peer Perform → OutperformTarget $29
  • Morgan StanleyTarget raisedJul 23, 2026
    OverweightTarget $27 (from $25, +8.0%)

T earnings and revenue estimates

What analysts expect the company to report next, and the catalyst that will test it.

Next earnings report

Earnings history →

Oct 21, 2026 in 12 days

EPS estimate
$0.61
Revenue estimate
$32.3B

Earnings per share

  • Current quarter$0.60$0.56$0.63+12%20
  • Next quarter$0.52$0.48$0.58+1%18
  • Current year$2.34$2.29$2.38+10%24
  • Next year$2.57$2.43$2.70+10%22

Revenue

  • Current quarter$31.7B$31.2B$31.9B+3%18
  • Next quarter$34.6B$34.0B$35.3B+3%16
  • Current year$129.3B$128.4B$130.1B+3%21
  • Next year$132.1B$130.3B$133.6B+2%20

T: Tickzen Forecast vs Wall Street Targets

Tickzen's statistical range and the street's published targets on one price axis.

Tickzen median
$26.47
+6.4% vs today
Wall Street mean target
$28.84
+16.0% vs today
Difference
+9.0%
Wall Street above Tickzen
52-week rangewhere it has traded
Low $19.89High $29.44
Model range, Oct 2027Tickzen model, 80% of outcomes
Low $18.95Median $26.47High $36.97
Analyst targetsWall Street, 12-month
Low $20.00Median $29.13Mean $28.84High $36.00

Dashed line: today's price $24.87

The analyst mean target of $28.84 is 9.0% above the model's median of $26.47 for Oct 2027. It sits in the upper half of Tickzen's model range.

The model's Oct 2027 upper range of $36.97 is above T's 52-week high of $29.44, and its lower range of $18.95 is below the 52-week low of $19.89.

They answer different questions: the model's range shows how far T has typically moved, while analyst targets are opinions about what it is worth.

How Tickzen calculates the T forecast range

The range is based on T's own historical price volatility and the model's forecast distribution: 80% of modelled outcomes fall inside it, 10% above and 10% below. The model uses daily price history only; analyst targets are shown separately and are not an input.

Central 80% prediction interval at the end of each period from a lognormal model scaled by the stock's own realised volatility (sqrt-time growth); base is the median path (long-run drift plus a shrunk Prophet trend).

Volatility the model uses
26% a year
blend of the last 6 and 24 months
Volatility, last 30 days
13% a year
latest 20 trading days
Deepest drop
−28.9%
peak to trough, past 2 years
Beta vs S&P 500
-0.29
swings less than the market
Market regime
Balanced
Tickzen regime read

The model is a range model, not a price predictor: its centre line is today's price plus normal long-run growth, so the range matters more than any single number. Probabilities describe the model's distribution, not guaranteed returns.

100% of the analyst target range falls inside the model's 80% range.

Model details

  • Model confidence score: 75.9% (High). This is an indicator-agreement score, a heuristic blend of technical indicators, volume, volatility, analyst consensus, data quality and market regime. It is not a probability and has not been back-tested; the validated figures are under Model historical accuracy.
  • Version: tickzen-prophet-v2
  • Anchored to the Oct 2, 2026 close of $24.30
  • Generated Oct 5, 2026
  • Prices are scaled to the latest close: the model is multiplicative around its starting price, so every figure is multiplied by $24.87 / $24.30 = 1.023. The model is refitted on a schedule; the starting price follows the market.
  • Sources: Yahoo Finance prices and analyst data; earnings calendar from Yahoo Finance and Finnhub.