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American Tower Corporation AMT

Cell Tower REIT · NYQ · USD
https://www.americantower.com
$168.63
-0.20 (-0.12%) day
Day 167.79 — 171.30
Vol 2,072,045 · avg 3,413,170
📊 Investment Snapshot Caution
52-Week Range 12% of range — Near 52W Low
$160.06 $234.33
Performance Returns
1M -9.9%
3M -3.5%
6M +0.2%
YTD -1.6%
3Y -0.9%
5Y -30.3%
Fund Quality
Risk Assessment
  • Annual Volatility 25.6% · High
  • Worst 1-Year Drawdown -27.5% · Significant — prepare for deep dips
  • Risk-Adjusted Return Sharpe -0.83 · Poor — high risk, low reward

Auto-generated from fund data and price history. Not investment advice — verify with the fund issuer's factsheet before investing.

About This Fund

American Tower Corporation is one of the largest global real estate investment trusts. It is a leading independent owner, operator and developer of multitenant communications real estate. The Company's primary business is the leasing of space on communications sites to wireless service providers, radio and television broadcast companies, wireless data providers, government agencies and municipalities and tenants in a few other industries. The Company refers to this business, inclusive of its data center business discussed below, as its property operations. Additionally, the Company offers tower-related services in the United States, which the Company refers to as its services operations. These services include site application, zoning and permitting, structural and mount analyses, and construction management services, together with program management offerings that support customer deployment needs from project scoping through construction. The Company's services operations primarily support the Company's site leasing business, including through the addition of new tenants and equipment on its sites. The Company's customers include its tenants, licensees and other payers. American Tower Corporation was incorporated in 1995 in Delaware and is based in Massachusetts, Boston.

Investment Strategy & Highlights

Curated from issuer disclosures, fund factsheets, and public market data. Figures are illustrative and not investment advice.

Key Facts

Expense Ratio
Total Assets (AUM)
NAV
Yield
52W High / Low
234.33 / 160.06
3Y Avg Return
5Y Avg Return
Category

Performance Returns

1M
-9.91%
3M
-3.50%
6M
+0.24%
YTD
-1.64%
3Y
-0.87%
5Y
-30.29%

Total price return over each window. 3Y/5Y use weekly close history; shorter windows use daily closes.

Risk & Volatility

Volatility (ann.)
25.6%
Max Drawdown (1Y)
-27.5%
Sharpe-like
-0.83
Beta
0.91

Volatility = stdev of daily returns × √252. Sharpe-like = annualized mean / annualized vol (rf = 0%). Educational estimates from 1-year price history.

Technical Trend

SMA 20
170.67
SMA 50
177.31
SMA 200
176.84
RSI (14)
42.7

Signal: Mildly bullish (50/200 in uptrend)

Computed from daily close history. SMA-50 above SMA-200 is the classic “golden cross” trend regime. RSI > 70 overbought · RSI < 30 oversold.

PROS

No notable strengths flagged.

CONS

  • Large 1-year drawdown (-27.5%).

* The pros and cons are auto-generated from fund metrics.

Price Chart

Robinhood TradingView

Top Holdings

Holdings data not available for this fund.

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