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LBTYA · Liberty Global Ltd.

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$10.47 -0.02 (-0.19%) At close · Aug 14
Market Cap
$3.57B
Shares
341.09M

Price & Indicators

20d MA 50d MA 200d MA Earnings Filing Insider Congress Investor day
Close$10.47 Open$10.54 Day$10.45–10.64 52W close$9.69–13.03 Avg vol 30d2.4M Short int10.2M · 3.0% float · 3.6d Short vol44% Last earningsJul 24, 2026 DataNov 2024–Aug 2026 Filing10-Q · Jul 24

Raw chart and full-history price indicators begin at the captured split on Nov 13, 2024; bars on opposite sides are not compared.

Up next

Next earnings call
Oct 19, 2026 Est · unconfirmed · in 9 wks
FQ3-26 quarter ends
~Sep 30, 2026 Est
filed Jul 24, 2026

AI Brief

TL;DR.

Bullish
    Bearish

      AI-generated from the earnings call and 8-K · may contain errors · not investment advice

      Ask ALVIS about this →

      Equibles Rating

      blended score · not investment advice
      Overall
      Sell
      SellHoldBuy
      Technical Neutral Momentum Very Weak Sentiment Bearish Fundamentals Weak Quant / Vol Moderate
      Market backdrop VIX 14.3 · calm Equity put/call 0.52
      Technical
      price trend
      Neutral
      50 / 200-day cross No cross
      Price vs 200-day avg −8%
      below
      Price vs 50-day avg −4%
      below
      RSI (14) 47
      neutral
      MACD trend Positive
      52-week position 23%
      mid-range
      Momentum
      relative strength
      Very Weak
      1-month return +1%
      trailing
      6-month return −19%
      trailing
      YTD return −6%
      this year
      Relative strength −32%
      vs S&P · 6-mo
      Sentiment
      smart money
      Bearish
      Trend (MA cross) No cross
      50d $11 › 200d $11 — 200d above 50d
      Institutional flow Distributing
      -13% holders QoQ · +46 funds added
      Insider flow Distributing
      Net -$2.0M over 90 days · 100% sells
      Short interest Rising
      3.00% of float · ▲ +11.8% MoM · 3.6 days cover
      Volume signal Normal
      Volume near normal
      Institution breadth Steady
      324 holders — mid 3-yr range
      Squeeze score 58
      elevated · 0–100
      Fundamentals
      Weak
      Revenue growth −3%
      Y/Y
      EPS growth −593%
      Y/Y
      Buyback $236.7M
      remaining
      Balance sheet $6.5B
      net debt
      Quant / Vol
      risk profile
      Moderate
      Volatility 33%
      annualized · 1-yr
      Max drawdown −26%
      past year
      ATR 3.2%
      of price · 14-day

      Blended from price, momentum, positioning, fundamentals & volatility · daily-close · not investment advice. Market backdrop is context, not part of the score.

      Guidance & track record

      Latest guidance · from the 8-K filed Jul 24, 2026
      Total service revenue · full-year 2026 Non-GAAP -5% – -3%
      Adjusted EBITDA · full-year 2026 Non-GAAP -5% – -3%
      Prior guidance period ended · from the Earnings Call filed Sep 30, 2025
      Net corporate costs · 2025 $150M

      Guidance from company 8-Ks · delivered figures from as-reported statements · no analyst estimates involved.

      Technicals

      trend & momentum for long-term holders Neutral
      1 · 4 · 1
      50 / 200-day cross
      No cross Neutral
      Price vs 200-day avg
      −8% Bearish
      Price vs 50-day avg
      −4% Neutral
      RSI (14)
      47 Neutral
      MACD trend
      Positive Bullish
      52-week position
      23% Neutral
      Market signals — smart money & positioning
      Bearish · 3 of 6
      Trend (MA cross) No cross
      50d $11 › 200d $11 — 200d above 50d
      Institutional flow Distributing
      -13% holders QoQ · +46 funds added
      Insider flow Distributing
      Net -$2.0M over 90 days · 100% sells
      Short interest Rising
      3.00% of float · ▲ +11.8% MoM · 3.6 days cover
      Volume signal Normal
      Volume near normal
      Institution breadth Steady
      324 holders — mid 3-yr range
      Price context
      position in its 52-week range
      Range low $10 Now $10 · 23% Range high $13
      vs 200-day avg -8% vs 50-day avg -4%

      Illustrative technical + ownership context — a signal mix, not investment advice.

      Key metrics

      the company's own KPIs, from written earnings releases and filings
      Metric Latest Period YoY
      Adjusted EBITDA - Liberty Growth non-GAAP -$25.7M Three months ended June 30, 2026
      Adjusted EBITDA - VodafoneZiggo JV non-GAAP $470.1M Three months ended June 30, 2026
      Consumer broadband net losses -28,200 Q2 2026
      Full-fiber footprint 9M Q2 2026
      Postpaid net losses -63,000 Q2 2026
      VMO2 Adjusted EBITDA less P&E additions non-GAAP $606.5M Q2 2026
      VMO2 Property and equipment additions non-GAAP $573.8M Q2 2026
      Adjusted EBITDA - Consolidated Liberty Telecom non-GAAP $376.6M Q1 2026
      Adjusted EBITDA - Liberty Corporate non-GAAP -$2.3M Q1 2026
      Adjusted EBITDA - Telenet non-GAAP $183.9M Q1 2026
      Average debt tenor 3.1 Q4 2025
      Blended fully-swapped cost of debt 3.8% Q4 2025
      Consolidated Liberty Telecom Adjusted EBITDA non-GAAP $1.48B FY 2025
      Corporate cash position $2.2B FY 2025
      Liberty Growth Adjusted EBITDA non-GAAP -$38.6M FY 2025
      Liberty Growth portfolio FMV $3.4B FY 2025
      Liberty Services & Corporate Adjusted EBITDA non-GAAP -$129.3M FY 2025
      Non-core asset disposals $400M FY 2025
      Refinancings $15B FY 2025
      Telenet Adjusted EBITDA non-GAAP $1.3B FY 2025
      Telenet Organic Broadband Subscribers change 12,400 Q4 2025
      Telenet Organic Fixed-Line Customer Relationships change -4,600 Q4 2025
      Telenet Organic Postpaid Mobile Subscribers change 2,900 Q4 2025
      Telenet Organic Total RGUs change -22,300 Q4 2025
      Total consolidated Adjusted EBITDA non-GAAP $278.6M Q4 2025
      Total liquidity $2.9B Q4 2025
      Total principal amount of debt and finance leases $8.6B Q4 2025
      VM Ireland Adjusted EBITDA non-GAAP $180.3M FY 2025
      VM Ireland Broadband net losses -3,400 Q4 2025
      VM Ireland fiber build completion 70% FY 2025
      VM Ireland Organic Broadband Subscribers change -3,400 Q4 2025
      VM Ireland Organic Fixed-Line Customer Relationships change -4,200 Q4 2025
      VM Ireland Organic Postpaid Mobile Subscribers change 1,500 Q4 2025
      VM Ireland Organic Total RGUs change -11,100 Q4 2025
      VM Ireland Postpaid net adds 1,500 Q4 2025
      VM Ireland retail broadband base on fiber 17% Q4 2025
      VM Ireland Wholesale broadband net adds 6,400 Q4 2025
      VMO2 JV 5G outdoor population coverage 87% Q4 2025
      VMO2 JV Adjusted EBITDA non-GAAP $4.66B FY 2025
      VMO2 JV Adjusted EBITDA less P&E additions non-GAAP $459.6M Q4 2025
      VMO2 JV Adjusted Free Cash Flow non-GAAP £393.1M FY 2025
      VMO2 JV Broadband net losses -16,700 Q4 2025
      VMO2 JV Fixed ARPU change -0.8% Q4 2025
      VMO2 JV Full fiber footprint 8.3M Q4 2025
      VMO2 JV IFRS Adjusted EBITDA non-GAAP £965.4M Q4 2025
      VMO2 JV Organic Broadband Subscribers change -16,700 Q4 2025
      VMO2 JV Organic Fixed-Line Customer Relationships change -18,500 Q4 2025
      VMO2 JV Organic Postpaid Mobile Subscribers change -164,800 Q4 2025
      VMO2 JV Organic Total RGUs change -174,000 Q4 2025
      VMO2 JV P&E additions excluding ROU additions £2.1B FY 2025
      VMO2 JV Postpaid net losses -164,800 Q4 2025
      VMO2 JV Property and equipment additions $707.2M Q4 2025
      VMO2 JV Total gigabit footprint 18.8M Q4 2025
      VodafoneZiggo JV Adjusted EBITDA non-GAAP $1.98B FY 2025
      VodafoneZiggo JV Organic Broadband Subscribers change -11,900 Q4 2025
      VodafoneZiggo JV Organic Fixed-Line Customer Relationships change -16,800 Q4 2025
      VodafoneZiggo JV Organic Postpaid Mobile Subscribers change 9,900 Q4 2025
      VodafoneZiggo JV Organic Total RGUs change -75,600 Q4 2025

      Figures exactly as the company stated them in writing · click a metric with a to chart its history · period links open the stating document · "filing" marks figures stated in the 10-K/10-Q · YoY needs an exactly comparable prior-year period

      Versus peers

      Telecom Services — same industry group
      Open screener →
      Company Mkt cap YTD Rev growth Y/Y P/E Short % shares
      LBTYA
      Liberty Global Ltd.
      this stock
      $3.57B -6.0% -3.5% 3.0%
      SFTBF
      Softbank Group Corp.
      $208.01B +29.4% 0.4%
      VZ
      Verizon Communications Inc
      $201.42B +19.0% +2.5% 12.6 2.0%
      TMUS
      T-Mobile US, Inc.
      $195.88B -10.1% +8.3% 19.1 1.7%
      T
      At&T Inc.
      $170.56B +0.2% +2.7% 8.3 1.9%

      Peers by industry group · P/E from as-reported trailing EPS · short % is of shares outstanding

      At a glance

      key data from every section
      Ownership
      Institutional Holders Reducing
      Holders
      324
      % held
      73.2%
      Net QoQ
      -35.4M sh
      Top holder
      ACR Alpine Capital Resear…
      Held Float
      View
      Held by Funds
      Fund positions
      93
      View
      Short & Settlement
      Short Interest Rising
      Shares short
      10.2M
      Days to cover
      3.6d
      Change
      +1.1M sh
      View
      Short Volume
      Short vol %
      44%
      As of
      Aug 14, 2026
      Short Total
      View
      Fails to Deliver
      FTD shares
      13.2K
      Value
      $143.9K
      As of
      Jul 14, 2026
      View
      Off-Exchange
      Off-exchange %
      34.9%
      Week of
      Jul 6, 2026
      Off-exch Lit
      View
      Smart Money
      Insider Trades Net selling
      Net (90d)
      -$2.0M
      Buyers / Sellers
      0 / 2
      Buyers Sellers
      View
      Congressional Trades Sell
      Member
      Daniel Goldman
      Amount
      $1.0K–$15.0K
      Traded
      Jul 12, 2023
      View
      Financials
      Financials
      Revenue (FY)
      $4.9B
      Net income (FY)
      $-7.1B
      EPS diluted
      $-20.86
      View
      Buybacks
      Authorized
      $450.0M
      Remaining
      $236.7M
      Spent Remaining
      View
      Filings
      SEC Filings
      Latest
      8-K
      Filed
      Aug 13, 2026
      This year
      25
      View
      Proposed Sales
      Value
      $229.8K
      Shares
      20.0K
      Filed
      Mar 20, 2026
      View
      Earnings & Events
      Earnings Calls
      Last call
      Jul 24, 2026
      View

      Performance

      Raw-price comparisons begin at the captured split on Nov 13, 2024; windows that need an earlier baseline remain unavailable.

      5D 20D 120D MTD YTD
      LBTYA -0.8% +0.6% -18.5% -1.3% -6.0%
      SPY +0.4% +4.5% +13.8% +3.9% +13.9%
      vs SPY -1.2% -3.9% -32.3% -5.2% -19.9%

      Capital returns

      Buyback program · as of Sep 30, 2025
      Authorized
      $450.00M
      Spent (derived)
      $213.30M
      Remaining
      $236.70M
      Spent Remaining

      Dividends per share over the trailing 365 days by ex-date · buyback figures as last reported in SEC filings ("spent" derived as authorized − remaining; when several programs run concurrently, authorized is their combined total per the newest filing) · components shown separately — trailing-year buyback spend isn't tracked, so no combined shareholder yield is derived.

      Key facts CIK 1570585 CUSIP G61188101 13F (30d) 310 filings 304 filers Visit website