Overview
Smart money at a glance
Filings to Oct 1, 2026No insider open-market trades in 90 days (SEC Form 4). Congress: no trades disclosed in 180 days.
- Company insidersSEC Form 4, last 90 days
- $0No open-market trades
- CongressSTOCK Act, last 180 days
- NoneNo trades disclosed
- Big fundsSEC 13F, quarter ended Mar 31, 2026
- 0 added, 1 cutMore cutting
Key stats
Fundamentals Sep 30- Open
- $11.38
- 52-wk high
- $16.34
- High
- $11.43
- 52-wk low
- $10.82
- Low
- $11.27
- Prev close
- $11.54
- Mkt cap
- $18.18B
- P/E
- 14.2x
- Volume
- 853.0K
- Fwd P/E
- 9.9x
- Beta
- 0.20
- Div yield
- 8.80%
- P/S
- 0.3x
- P/B
- 1.5x
- Profit margin
- +10.7%
- Op margin
- +17.6%
- ROE
- +9.9%
What do analysts expect?
Analyst target and ratings are on paid plans
See the 12-month consensus target and the buy/hold/sell rating split.
Unlock the full resultsQuestions about VIV filings
Are insiders buying or selling Telefonica Brasil SA ADR (VIV) stock?
Neither. Telefonica Brasil SA ADR (VIV) insiders filed no open-market purchases or sales in the 90 days to Oct 1, 2026, according to SEC Form 4 filings.
Which members of Congress have traded VIV recently?
None. No member of Congress disclosed a VIV trade with a trade date in the last 180 days, according to House and Senate STOCK Act filings.
How current is this VIV smart-money data?
This summary uses filings available on Oct 1, 2026. Insiders must report trades to the SEC within 2 business days, members of Congress have up to 45 days to disclose a trade, and funds file 13F holdings up to 45 days after each quarter ends, so the latest moves may not be public yet.
Smart money
8 funds hold a position.
What funds are doing
Sells/Trims (1)
- BO

Bank of America
$8.8M
trimmed
How top traders are positioned
No tracked top-trader positions in VIV right now.
Live Hyperliquid positioning - not every stock is covered
Earnings
Earnings came in 34.8% below what analysts expected.
Earnings per share
$0.23 expected
Reports Oct 29, 2026, in 28 days
Estimates as of Sep 30, 2026
EPS expected
$1.44 to $1.44
Revenue expected
5 analysts
Last 30 days
Analysts raising estimates
Estimate drift
Change in 30 days
Financials
Is the business strong?
Fairly priced and profitable.
- Net margin
- 10.7%
- P/E
- 14.22
- Forward P/E
- 9.87
- Market cap
- $18.2B
Valuation
- P/S0.29
- P/B1.50
- Dividend yield8.8%
Quality
- Operating margin17.6%
- ROE9.9%
- ROA5.5%
Growth
- Beta0.20
Technicals
Price structure
This stock is under pressure.
Trend
Under pressure
0 / 100
RSI 14
20D volatility
52-week range
20D support
20D resistance
Returns
Price vs moving averages
Volume pace