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AMT — American Tower

REIT

Last price
$177.74
2025-01-30
52w high
$228.57
-22.2% off high
5yr return
-18%
since 2021-05-24
Active modes
0/3
BUY or WATCH
Price chart — last 12 months
Price with 50-day & 200-day MAs. Colored dots mark historical reversal-signal firings — see legend below.
Signal events on chart (last 252 days)
RSI crossed 50×12
50DMA reclaimed×5
Golden cross×1
Higher lows (5)×6
Volume accumulation×17
Bullish RSI divergence×2
Oversold / Fear
SKIP
✅ Recovery3/8·26w

Quality gate failed: insufficient data: gross margin.

Golden cross: 50DMA crossed above 200DMA within last 30 days · 1 upgrade vs 0 downgrades in last 30 days (net +1) · Earnings in 9 days (catalyst window)
Acceleration
SKIP
✅ Recovery3/8·26w

Quality gate failed: insufficient data: gross margin.

Golden cross: 50DMA crossed above 200DMA within last 30 days · 1 upgrade vs 0 downgrades in last 30 days (net +1) · Earnings in 9 days (catalyst window)
Quality at Fair Price
SKIP
✅ Recovery3/8·26w

Quality gate failed: insufficient data: gross margin.

Golden cross: 50DMA crossed above 200DMA within last 30 days · 1 upgrade vs 0 downgrades in last 30 days (net +1) · Earnings in 9 days (catalyst window)
Score trajectory
How the score has evolved across recent scans for each mode. Rising score = setup forming.
Annual fundamentals
From yahoo fundamentalsTimeSeries (annual cadence).
Year-endRevenueFCFGross %Op %ROICEPS
2025-12-3113.39B5.46B77.2%21.7%$
2024-12-3112.70B5.29B76.1%20.9%$
2023-12-3112.57B4.72B66.2%16.8%$
2022-12-3112.21B3.70B64.5%15.4%$
2021-12-319.36B3.44B71.3%33.5%6.0%$
2020-12-318.04B2.85B72.3%35.9%8.5%$
2019-12-317.58B2.76B70.8%35.5%8.8%$
Universe metadata
REIT

Hand off to Claude for qualitative deep-dive

Claude deep-dive prompt

My stock-scanner has flagged AMT with the following signals across multiple scoring modes:

1. Quality gate failed or no signals firing across all 3 modes — the framework currently sees no setup. Why might that be?

Please do a current deep-dive on AMT:

1. What's the actual business / what do they sell, in plain English?
2. Recent news + narrative: why is the market pricing this where it is right now? What's the bear case being priced in?
3. Is the long-term thesis intact, or has something fundamentally broken (moat erosion, secular decline, management issues)?
4. What's the upcoming catalyst calendar — earnings, product launches, regulatory dates?
5. Compare to peers: cheaper than peers / more expensive / similar?
6. If buying: is now the right entry, or is there a smarter staged-accumulation plan? Suggest specific price levels.
7. What's the biggest risk to a long position from here?

Use web search for any recent news (last 30 days) to ground your answer in current reality, not training cutoff.