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ZIONZions Bancorporation N.A.Hold6.8·$69.29+0.19%
HoldModerate Confidence
Investment thesis

Zions Bancorporation has delivered 4 consecutive earnings beats with an average surprise of 11% and strong growth metrics, but a hard geographic concentration in 4 states — representing 77% of exposure — and a stock price that has already exceeded its analyst target create significant structural and timing risks.

Thesis pillars

  • Perfect Earnings Beat StreakImproving
  • Geographic Concentration 77pctImproving
  • Stock Exceeded Analyst TargetImproving
  • +1 more pillar — see the Why tab for full reasoning

Full reasoning →

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Zions Bancorporation N.A. (ZION) Stock Analysis

HoldValueGrowthModerate Confidence

Financial Services · Banks - Regional

Hold if already holding. Not a fresh buy at $69.29, but acceptable to hold if already in. Reasons: Single-region cliff: 77% exposure to Utah, Idaho, Texas, and California (≥60% threshold). Regional macroeconomic shock = idiosyncratic terminal risk.; Concentration risk — Geographic: Utah, Idaho, Texas, and California (77.0%).

Zions Bancorporation, N.A. is a national bank headquartered in Salt Lake City, Utah, with $89 billion in total assets and $3.4 billion in net revenue in 2025, serving 1+ million customers through 407 branches across 11 Western states via seven affiliate brands. Net interest... Read more

$69.29-2.8% A.UpsideScore 6.8/10#15 of 223 Banks - Regional
QualityF-score7 / 9FCF yield
IncomeYield2.60%(5y avg 3.37%)Payout22.93%sustainable
Stop $65.89Target $71.87(resistance)A.R:R -0.6:1
Analyst target$74.81+8.0%21 analysts
$71.87our TP
$69.29price
$74.81mean
$85

Hold if already holding. Not a fresh buy at $69.29, but acceptable to hold if already in. Reasons: Single-region cliff: 77% exposure to Utah, Idaho, Texas, and California (≥60% threshold). Regional macroeconomic shock = idiosyncratic terminal risk.; Concentration risk — Geographic: Utah, Idaho, Texas, and California (77.0%). Chart setup: No clear chart pattern; technical signals are mixed. Maintain position. Not compelling to add more. Score 6.8/10, moderate confidence.

Passes 5/9 gates (clean insider activity, news events none recent, earnings proximity 86d clear, semi cycle peak clear, materials cycle peak clear). Fails on weak momentum and favorable risk/reward ratio and finsvc regional cliff hard block. Suitability: moderate.

TrendMatrix Research · upcoming catalyst calendar

Upcoming dated catalysts

Mon, Oct 19, 202686d to earnings· next earnings call

Thesis

Rewards
Strong earnings beat streak (4/4)
Strong growth profile
Outperforming peers
Risks
Single-region cliff: 77% exposure to Utah, Idaho, Texas, and California (≥60% threshold). Regional macroeconomic shock = idiosyncratic terminal risk.
Concentration risk — Geographic: Utah, Idaho, Texas, and California (77.0%)
Concentration risk — Regulatory: OCC

Key Metrics

P/E (TTM)8.8
P/E (Fwd)10.2
Mkt Cap$10.1B
EV/EBITDA
Profit Mgn31.8%
ROE16.4%
Rev Growth35.2%
Beta0.79
Dividend2.60%
Rating analysts29

Quality Signals

Piotroski F7/9MoatNarrow

Options Flow

P/C0.29bullish
IV37%normal

Concentration Risks(10-K Item 1A)

  • HIGHGeographicUtah, Idaho, Texas, and California77%
    10-K Item 1A: 'our banking operations in Utah, Idaho, Texas, and California represented 77% of our commercial lending portfolio'
  • MEDIUMloan_portfolioreal estate, oil and gas, and leveraged lending
    10-K Item 1A: 'We have a concentration of risk within our loan portfolio, including, but not limited to, loans secured by real estate, oil and gas-related lending, and leveraged and enterprise value lending'
  • HIGHregulatoryOCC
    10-K Item 1: 'we are subject to the regulatory oversight of the Office of the Comptroller of the Currency ("OCC")'

Material Events(8-K, last 90d)

  • 2026-06-02Item 5.02LOW
    Board expanded from 11 to 12 directors; Daniel J. Ryan (retired PricewaterhouseCoopers partner) elected effective June 2, 2026. Appointed to Audit and Risk Oversight Committees effective July 1, 2026. No reason cited.
    SEC filing →

Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results.

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About TrendMatrix. TrendMatrix is a publisher of general securities research and market commentary. We publish on a regular schedule. All content is the same for every subscriber in a tier — we do not provide personalized investment advice and we do not take into account any individual subscriber's financial situation, investment objectives, risk tolerance, tax situation, or holdings.

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Conflicts and positions. The TrendMatrix editorial team frequently holds personal long-term positions in securities discussed. We disclose positions held at the time of publication on each piece. We maintain a trading-window policy: we do not initiate or close positions in the same direction as a TrendMatrix publication within 24 hours before or 72 hours after publication.

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Performance. Past performance is not indicative of future results. Performance figures reflect the published model only and do not reflect any individual subscriber's actual results.

Methodology · Editorial policy & full disclaimer

Rating Breakdown

1 floor-breaker·1 ceiling hit

Momentum below the gate floor. Component breakdown shows what dragged the score down.static

Macd
0.0
Obv
1.0
Volume
1.3
Rsi
5.5
Ma Position
6.0
Volume distribution (falling OBV)Above 200-day MA
GatesMomentum 2.8<4.5A.R:R -0.6=NEGATIVEFINSVC REGIONAL CLIFF HARD BLOCKExecutive change: officer departure/appointmentInsider activity: OKNEWS EVENTS NONE RECENTEARNINGS PROXIMITY 86d clearSEMI CYCLE PEAK CLEARMATERIALS CYCLE PEAK CLEARSuitability: Moderate
RSI
45 · Neutral
20D MA 50D MA 200D MAGOLDEN CROSSSupport $67.75Resistance $73.34

Price Targets

$66
$72
A.Upside-2.8%
A.R:R-0.6:1

Position Sizing

ConvictionNone
Suggested %0.5%
Max %1%
RegimeSteady

Risk Alerts

! Target reached (-2.8% upside)
! momentum at 2.8 (below the engine's 4.5 threshold)
! Negative risk/reward — downside exceeds upside

Earnings

B
B
B
B
4/4 beats
Next Earnings2026-10-19 (86d)

Verdict History

reverse chrono — latest first
Loading history...
Verdicts are recorded on every nightly pipeline run. Rows capture transitions (verdict flips, score deltas ≥0.3, entry/TP/SL changes). Rows with a ▶ can be expanded to see the change reason. Aggregate cohort performance is tracked in the recommendation ledger.
Frequently Asked Questions
Is ZION stock a buy right now?

Hold if already holding. Not a fresh buy at $69.29, but acceptable to hold if already in. Reasons: Single-region cliff: 77% exposure to Utah, Idaho, Texas, and California (≥60% threshold). Regional macroeconomic shock = idiosyncratic terminal risk.; Concentration risk — Geographic: Utah, Idaho, Texas, and California (77.0%). Chart setup: No clear chart pattern; technical signals are mixed. Maintain position. Not compelling to add more. Target $71.87 (+3.7%), stop $65.89 (−5.2%), A.R:R -0.6:1. Score 6.8/10, moderate confidence.

What is the ZION stock price target?

Take-profit target: $71.87 (-2.8% upside). Target $71.87 (+3.7%), stop $65.89 (−5.2%), A.R:R -0.6:1. Stop-loss: $65.89.

What are the risks of investing in ZION?

Single-region cliff: 77% exposure to Utah, Idaho, Texas, and California (≥60% threshold). Regional macroeconomic shock = idiosyncratic terminal risk.; Concentration risk — Geographic: Utah, Idaho, Texas, and California (77.0%); Concentration risk — Regulatory: OCC.

Is ZION overvalued or undervalued?

Zions Bancorporation N.A. trades at a P/E of 8.8 (forward 10.2). TrendMatrix value score: 6.7/10. Verdict: Hold.

What do analysts say about ZION?

29 analysts cover ZION with a consensus score of 3.6/5. Average price target: $75.

What does Zions Bancorporation N.A. do?Zions Bancorporation, N.A. is a national bank headquartered in Salt Lake City, Utah, with $89 billion in total assets...

Zions Bancorporation, N.A. is a national bank headquartered in Salt Lake City, Utah, with $89 billion in total assets and $3.4 billion in net revenue in 2025, serving 1+ million customers through 407 branches across 11 Western states via seven affiliate brands. Net interest income from commercial, CRE, and consumer loans is the primary revenue source; Utah, Idaho, Texas, and California account for 77% of commercial loans.

Related stocks: CUBI (Customers Bancorp, Inc) · NBN (Northeast Bank) · TMP (Tompkins Financial Corporation) · COLB (Columbia Banking System, Inc.) · FBK (FB Financial Corporation)
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