The Coca-Cola Company (KO) now trades with a market capitalization of $180.39 Billion. The stock hit its 52-week high price on 04/11/16 and 52-week low price on 12/01/16. In terms of the mechanics underlying that movement, traders will want to note that the stock is trading on a float of 0.75% with $4.26 Billion sitting short, betting on future declines.
In recent action, The Coca-Cola Company (KO) has made a move of +2.01% over the past month, which has come on Strong relative transaction volume. Looking ahead to earnings forecasts, for the running fiscal period, Wall Street analysts have anticipated that the company will report 0.46 earnings per share.
While looking at the Stock's Performance, The Coca-Cola Company now shows a Weekly Performance of 0.26%, where Monthly Performance is 4.85%, Quarterly performance is 2.89%, 6 Months performance is 0.94% and yearly performance percentage is -5.09%. According to analysts minimum EPS for the current quarter is expected at $0.42 and can go high up to $0.46. The target implies a 6.93% spike from where the shares are now trading. Vetr cut The Coca-Cola from a "strong-buy" rating to a "buy" rating and set a $45.34 price target on the stock.in a report on Wednesday, December 7th. By reviewing stock prices from the stock market history of the company and examining its analysts ratings can give an investment picture with updated information of stock which helps investors to make investing decision. In the last six months the stock's performance advanced 0.94% while yearly performance of the company fell -5.09%.
Shares of The Coca-Cola Co (NYSE:KO) opened at 42.03 on Monday. Coca-Cola European Partners plc has a 12 month low of $30.55 and a 12 month high of $54.54.
A 52-week high/low is the highest and lowest price that a stock has traded at during the previous year. That value represents a market adjusting for revenues that have been falling by -5.91 % on a quarterly year/year basis as of the company's last quarterly report. A total of 37.5 million shares exchanged at hands and its average trading volume is standing at 13.87 million shares. The stock has a market cap of 179.34 Billion. A quick valuation analysis for (CCE) shows the following: The stock's simple PE ratio is 14.15. The Coca-Cola Co (NYSE:KO) has a Return on Assets (ROA) of 7.10%. Presently, it has a Return on Equity (ROE) of 25.90% and Return on Investment (ROI) of 10.20%.
The Coca-Cola Company shares increased 0.26 percent over the past week and rose 4.85 percent over the previous month.
The Stock has Weekly volatility of 0.81% and monthly volatility of 0.82%. The consensus recommendation by Thomson Reuters analysts is Outperform and their mean rating for the stock is 2.04 on scale of 1-5. The Closing Price of the stock before earnings was $39.29 while on the Next day the stock closed its trading session at $39.8 with a percentage change of 1.3% from the price of 39.29 before Earnings. Analysts mean target price for Medtronic plc (NYSE:MDT) is $87.74 while their mean recommendation is 2.10 (1=Buy, 5=sell).
The Coca-Cola Company's Average Earnings Estimate for the current quarter is $0.44, according to consensus of 18 analysts.
We believe that CCE shares are attractively valued at 15.7-times our 2017 EPS estimate, below the peer average of 20.4, and at a PEG ratio of 1.6, below the peer average of 2.7. For KO, the company now has $8.56 Billion of cash on the books, which is offset by $16.03 Billion current liabilities.