Loading...

Intellectia LogoIntellectia
AI Trading Bot
Features
Markets
News
Resources
Pricing
  1. Home
  2. Stock
  3. KO
KO logo

KO Overview

-
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
OverviewStock Price PredictionTechnicalValuationFinancialsEarningsShould I BuyNews & Events
an image of Intellectia Logoan image of Intellectia

Most Trusted AI Platform for Winning Trades

TwitterYoutubeQuoraDiscordLinkedinTelegram

Copyright © 2026 Intellectia.AI. All Rights Reserved.

Company

  • Home
  • Contact
  • About Us
  • Press
  • Privacy
  • Terms of Service
  • Service Terms of Use

Resources

  • Blog
  • Tutorial
  • Help Center
  • Affiliate Program

Markets

  • Market Analysis
  • Crypto
  • Featured Screeners
  • AI Earnings Calendar
  • Market Movers
  • Stock Monitor
  • Economic Calendar
  • All US Stocks
  • All Cryptos

Tools

  • Dividend Calculator
  • Dividend Yield Calculator
  • Options Profit Calculator

Features

  • QuantAI Alpha Pick
  • SwingMax Portfolio
  • Swing Trading
  • AI Stock Picker
  • Whales Auto Tracker
  • Daytrading Center
  • Patterns Detection
  • AI Screener
  • Financial AI Agent
  • Backtesting Playground
  • AI Earnings Prediction
  • Stock Monitor
  • Technical Analysis

News

  • Overview
  • Top News
  • Daily Market Brief
  • Earnings Analysis
  • Newswire
  • Stock News
  • Crypto News
  • Institution News
  • Congress News
  • Monitor News

Compare

  • TradingView
  • SeekingAlpha
Intellectia

Loading chart...

High
78.070
Open
76.620
VWAP
77.47
Vol
18.55M
Mkt Cap
334.60B
Low
76.530
Amount
1.44B
EV/EBITDA(TTM)
22.59
Total Shares
4.30B
EV
363.12B
EV/OCF(TTM)
49.02
P/S(TTM)
6.93
The Coca-Cola Company is a beverage company. The Company's segments include Europe, Middle East and Africa (EMEA); Latin America; North America; Asia Pacific, and Bottling Investments. It sells multiple brands across several beverage categories worldwide. Its portfolio of sparkling soft drink brands includes Coca-Cola, Sprite and Fanta. Its water, sports, coffee and tea brands include Dasani, smartwater, vitaminwater, Topo Chico, BODYARMOR, Powerade, Costa, Georgia, Fuze Tea, Gold Peak and Ayataka. Its juice, value-added dairy and plant-based beverage brands include Minute Maid, Simply, innocent, Del Valle, fairlife and Santa Clara. It operates in two lines of business: concentrate operations and finished product operations. Its concentrate operations sell beverage concentrates, syrups, including fountain syrups, and certain finished beverages to authorized bottling operations. Its finished product operations sell sparkling soft drinks and a variety of other finished beverages.
Show More

Events Timeline

(ET)
2026-02-27
06:20:00
Target Requires All Cereals to Be Free of Synthetic Colors
select
link
2026-02-24 (ET)
2026-02-24
09:20:00
Algorhythm Partners with Coca-Cola India for Pilot Transportation Program
select
2026-02-19 (ET)
2026-02-19
14:10:00
Coca-Cola Announces Quarterly Dividend Increase to 53 Cents
select
2026-02-17 (ET)
2026-02-17
13:00:00
Coca Cola Shares Up 0.26% to $78.89
select

News

Fool
9.5
02:06 AMFool
Berkshire Hathaway's Cash Reserves Analysis
  • Cash Reserve Status: Berkshire Hathaway ended 2025 with a cash reserve of $373.3 billion, down from $381.6 billion in Q3, yet still demonstrating strong financial strength, indicating the company's resilience amid market fluctuations.
  • Stock Trading Dynamics: The company has been a net seller for the 13th consecutive quarter, primarily raising funds through sales of Apple and Bank of America stocks, reflecting its ongoing focus on these core holdings and risk management strategies.
  • Buyback Strategy Adjustment: Although the company has not repurchased shares for six straight quarters, it began buying back stock earlier this month, indicating a reassessment of current stock prices, particularly as the price-to-book ratio has decreased from 1.8 to 1.4.
  • CEO Strategic Outlook: New CEO Abel emphasized patience in managing the cash reserves in his annual letter, stating the need for disciplined investment timing while also highlighting the importance of risk management beyond its large insurance operations.
NASDAQ.COM
9.5
02:04 AMNASDAQ.COM
Berkshire Ends 2025 with Record Cash Reserves
  • Cash Reserve Status: Berkshire ended 2025 with a cash reserve of $373.3 billion, down from $381.6 billion in Q3, yet still demonstrating strong financial strength that allows for flexibility in future investment opportunities.
  • Stock Trading Strategy: The company has been a net seller for the 13th consecutive quarter, primarily raising funds through sales of Apple and Bank of America stocks, indicating a cautious approach to these holdings, while Apple remains its largest investment, reflecting stability in its long-term investment strategy.
  • Stock Buyback Decision: Berkshire has not repurchased any shares for six consecutive quarters, although it has recently begun to reconsider its buyback strategy, indicating a more cautious approach to assessing the intrinsic value of its stock, especially with the current P/B ratio at 1.4.
  • Impact of Management Changes: New CEO Abel emphasizes the importance of patience and risk management, and while investors express frustration over the company's inaction, he believes that maintaining discipline and a prudent investment strategy is wise in a rapidly evolving technological landscape.
Fool
6.5
03-09Fool
Coca-Cola vs Altria: Stock Analysis
  • Coca-Cola's Steady Growth: Coca-Cola continues to expand in the global beverage market, successfully increasing sales of bottled water, juices, and sports drinks despite declining soda consumption, with projected EPS growth of 6.6% CAGR from 2025 to 2028.
  • Altria's Business Transformation: Altria accelerates its shift towards smoke-free products through the acquisition of e-cigarette leader NJOY, expecting smoke-free revenue to reach at least $5 billion by 2028, which would account for a quarter of its projected sales, demonstrating adaptability to future market trends.
  • Dividend King Status: Both Coca-Cola and Altria are Dividend Kings, with Coca-Cola raising dividends for 64 consecutive years at a yield of 2.65%, while Altria has increased dividends 60 times over 56 years, boasting a yield of 6.25%, showcasing strong dividend performance from both companies.
  • Valuation and Investment Choice: Coca-Cola's forward P/E ratio stands at 24, while Altria's is lower at 12, making Altria more attractive in the current market environment due to its lower valuation and higher dividend yield, especially in light of its expanding smoke-free business.
Fool
7.5
03-09Fool
Consumer Stocks Defy Market Trends with Gains
  • Coca-Cola Consolidated Performance: Coca-Cola Consolidated's stock surged 51% over the past year, reaching a market cap of $14 billion, and despite revenue growth not exceeding 12%, it has achieved 16 consecutive years of positive growth, indicating its stable market performance and long-term investment value.
  • McDonald's Product Innovation: McDonald's launched the limited-time Big Arch, and despite controversy surrounding the CEO's tasting video, the company achieved a net margin of 27% in 2025, with expectations to increase dividends, solidifying its status as a 'Dividend King'.
  • Restaurant Brands International Growth: Restaurant Brands International boasts a market cap of $26 billion, and while smaller than McDonald's, it achieved a 12% revenue growth rate in 2025 and offers a 3.5% dividend yield, showcasing its attractiveness in a competitive market.
  • Defensive Consumer Trends: Amid economic uncertainty, oil, gas, and defense sectors performed strongly, while consumer companies like Coca-Cola, McDonald's, and Restaurant Brands International reached new stock highs, reflecting market confidence and demand for these brands.
Fool
5.0
03-09Fool
Buffett's Retirement Marks Shift in Berkshire's Investment Strategy
  • Buffett's Retirement: Warren Buffett officially retired on December 31, 2025, concluding his six-decade tenure as CEO of Berkshire Hathaway, although he remains chairman, which may impact the company's investment decisions and market confidence.
  • Net Stock Selling: During Buffett's last three years, he was a net seller of stocks for 13 consecutive quarters, totaling nearly $187 billion, reflecting his cautious stance on current market valuations, which could lower investor expectations for future earnings.
  • No Stock Buybacks: Over the past 19 months, Buffett did not repurchase any of Berkshire's stock despite having $373.3 billion in cash and equivalents, indicating his conservative view on the company's stock valuation, which may affect shareholder returns.
  • Successor's Strategy: New CEO Greg Abel commits to continuing Buffett's value investment philosophy, emphasizing share buybacks when stocks trade below intrinsic value, which could create long-term value for shareholders, but short-term market volatility remains a concern.
NASDAQ.COM
5.0
03-09NASDAQ.COM
Buffett's 13 Quarters of Net Stock Selling Before Retirement
  • Buffett's Selling Strategy: Leading up to his retirement, Buffett was a net seller of stocks for 13 consecutive quarters, offloading nearly $187 billion, which reflects his cautious stance on market valuations despite overseeing a massive $318 billion investment portfolio.
  • Share Buyback Policy Change: In July 2018, Berkshire's board amended share repurchase terms, allowing Buffett to buy back shares when trading below 120% of book value; however, he refrained from any buybacks in the 19 months before his retirement, indicating high market valuations.
  • Successor's Investment Philosophy: New CEO Greg Abel adopts Buffett's investment philosophy, emphasizing patience and value investing, and is expected to continue repurchasing shares at appropriate price levels to enhance shareholder value.
  • Market Reaction and Future Outlook: Although Buffett did not purchase his favorite stock before retirement, confidence in his successor remains strong, as Abel announced a resumption of share buybacks on March 5, demonstrating the company's flexibility under current market conditions.
Wall Street analysts forecast KO stock price to rise
14 Analyst Rating
Wall Street analysts forecast KO stock price to rise
13 Buy
1 Hold
0 Sell
Strong Buy
Current: 0.000
sliders
Low
71.00
Averages
79.33
High
85.00
Current: 0.000
sliders
Low
71.00
Averages
79.33
High
85.00
BofA
Peter Galbo
Buy
maintain
$85 -> $88
AI Analysis
2026-02-18
Reason
BofA
Peter Galbo
Price Target
$85 -> $88
AI Analysis
2026-02-18
maintain
Buy
Reason
BofA analyst Peter Galbo raised the firm's price target on Coca-Cola to $88 from $85 and keeps a Buy rating on the shares. Coca-Cola "sounded positive" and delivered "another bottler-friendly presentation" during day 1 of the CAGNY conference, the analyst tells investors.
Barclays
NULL -> Overweight
maintain
$77 -> $83
2026-02-12
Reason
Barclays
Price Target
$77 -> $83
2026-02-12
maintain
NULL -> Overweight
Reason
Barclays raised the firm's price target on Coca-Cola to $83 from $77 and keeps an Overweight rating on the shares.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for KO
Unlock Now

Valuation Metrics

The current forward P/E ratio for Coca-Cola Co (KO.N) is 21.62, compared to its 5-year average forward P/E of 23.11. For a more detailed relative valuation and DCF analysis to assess Coca-Cola Co's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PE
23.11
Current PE
21.62
Overvalued PE
24.67
Undervalued PE
21.56

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average EV/EBITDA
20.26
Current EV/EBITDA
18.96
Overvalued EV/EBITDA
21.52
Undervalued EV/EBITDA
19.00

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
6.00
Current PS
5.84
Overvalued PS
6.35
Undervalued PS
5.65

Financials

AI Analysis
Annual
Quarterly

Related Community Screener

which stocks have strong buy rating?
Intellectia · 93 candidates
Market Cap: >= 50.00BAnalyst Consensus: Strong BuyList Exchange: XNYS, XNAS, XASEIs Index Component: GSPC, DJI, NDX
Ticker
Name
Market Cap$
top bottom
NVDA logo
NVDA
NVIDIA Corp
4.46T
GOOG logo
GOOG
Alphabet Inc
3.64T
MSFT logo
MSFT
Microsoft Corp
3.05T
AMZN logo
AMZN
Amazon.com Inc
2.35T
META logo
META
Meta Platforms Inc
1.67T
AVGO logo
AVGO
Broadcom Inc
1.58T
stocks
Intellectia · 11 candidates
Market Cap: >= 50.00BAnalyst Consensus: Strong BuyPe Ttm: 12 - 28Return On Equity: >= 15.0%Is Index Component: GSPC
Ticker
Name
Market Cap$
top bottom
KO logo
KO
Coca-Cola Co
341.22B
GILD logo
GILD
Gilead Sciences Inc
183.52B
SCHW logo
SCHW
Charles Schwab Corp
166.88B
NEM logo
NEM
Newmont Corporation
128.93B
NOC logo
NOC
Northrop Grumman Corp
107.73B
WDC logo
WDC
Western Digital Corp
84.97B
principales acciones que paguen dividendos
Intellectia · 96 candidates
Dividend Yield Ttm: 2 - 8Dividend Payout Ratio: 20.00 - 80.00Is Index Component: GSPCDividend 5yr Cagr: >= 0
Ticker
Name
Market Cap$
top bottom
XOM logo
XOM
Exxon Mobil Corp
642.60B
JNJ logo
JNJ
Johnson & Johnson
599.00B
HD logo
HD
Home Depot Inc
369.15B
KO logo
KO
Coca-Cola Co
345.00B
CSCO logo
CSCO
Cisco Systems Inc
313.70B
MRK logo
MRK
Merck & Co Inc
300.17B
best stocks to swing trade
Intellectia · 1222 candidates
Region: USRsi Category: moderateList Exchange: XNYS, XNAS, XASEMoving Average Relationship: PriceAboveMA20Month Price Change Pct: $-5.00 - $40.00Monthly Average Dollar Volume: >= 500,000
Ticker
Name
Market Cap$
top bottom
TSM logo
TSM
Taiwan Semiconductor Manufacturing Co Ltd
1.94T
XOM logo
XOM
Exxon Mobil Corp
635.43B
COST logo
COST
Costco Wholesale Corp
448.66B
ABBV logo
ABBV
AbbVie Inc
410.36B
PG logo
PG
Procter & Gamble Co
390.70B
GE logo
GE
General Electric Co
358.95B
what blue chip
Intellectia · 59 candidates
Market Cap: >= 80.00BDividend Yield Ttm: 1 - 6Net Margin: >= 5.00Return On Equity: >= 10.0%Is Index Component: GSPC, DJI
Ticker
Name
Market Cap$
top bottom
JPM logo
JPM
JPMorgan Chase & Co
809.92B
XOM logo
XOM
Exxon Mobil Corp
635.43B
JNJ logo
JNJ
Johnson & Johnson
598.69B
ABBV logo
ABBV
AbbVie Inc
410.36B
PG logo
PG
Procter & Gamble Co
390.70B
HD logo
HD
Home Depot Inc
379.01B
stock to buy today
Intellectia · 20 candidates
Market Cap: >= 50.00BNet Margin: >= 15.00Pe Ttm: 10 - 25Return On Equity: >= 15.0%Moving Average Relationship: PriceAboveMA20
Ticker
Name
Market Cap$
top bottom
AU logo
AU
Anglogold Ashanti PLC
63.67B
AEM logo
AEM
Agnico Eagle Mines Ltd
123.28B
CNI logo
CNI
Canadian National Railway Co
67.41B
NEM logo
NEM
Newmont Corporation
138.67B
NVS logo
NVS
Novartis
315.82B
CSX logo
CSX
CSX Corp
79.31B
Daily RSI>75 or <25. Price >10.
Intellectia · 336 candidates
Price: >= $10.00Rsi Category: overbought, oversold
Ticker
Name
Market Cap$
top bottom
PG logo
PG
Procter & Gamble Co
382.64B
KO logo
KO
Coca-Cola Co
346.21B
AZN logo
AZN
AstraZeneca PLC
316.36B
NVS logo
NVS
Novartis
315.82B
MCD logo
MCD
McDonald's Corp
237.65B
LIN logo
LIN
Linde PLC
231.01B
Daily RSI above 75 or below 25
Intellectia · 558 candidates
Rsi Category: overbought, oversold
Ticker
Name
Market Cap$
top bottom
PG logo
PG
Procter & Gamble Co
382.64B
KO logo
KO
Coca-Cola Co
346.21B
AZN logo
AZN
AstraZeneca PLC
316.36B
NVS logo
NVS
Novartis
315.82B
MCD logo
MCD
McDonald's Corp
237.65B
LIN logo
LIN
Linde PLC
231.01B
Daily RSI above 75
Intellectia · 300 candidates
Rsi Category: overbought
Ticker
Name
Market Cap$
top bottom
PG logo
PG
Procter & Gamble Co
382.64B
KO logo
KO
Coca-Cola Co
346.21B
AZN logo
AZN
AstraZeneca PLC
316.36B
NVS logo
NVS
Novartis
315.82B
MCD logo
MCD
McDonald's Corp
237.65B
LIN logo
LIN
Linde PLC
231.01B
Daily RSI above 75 RSI divergence
Intellectia · 300 candidates
Rsi Category: overbought
Ticker
Name
Market Cap$
top bottom
PG logo
PG
Procter & Gamble Co
382.64B
KO logo
KO
Coca-Cola Co
346.21B
AZN logo
AZN
AstraZeneca PLC
316.36B
NVS logo
NVS
Novartis
315.82B
MCD logo
MCD
McDonald's Corp
237.65B
LIN logo
LIN
Linde PLC
231.01B

Whales Holding KO

C
Caisse des Dépôts et Consignations
Holding
KO
+28.93%
3M Return
G
GQG Partners, LLC
Holding
KO
+17.40%
3M Return
C
Chickasaw Capital Management, LLC
Holding
KO
+16.72%
3M Return
C
Capital Investment Trust Corporation
Holding
KO
+15.29%
3M Return
S
SAMA Foreign Holdings
Holding
KO
+15.19%
3M Return
E
Evelyn Partners Investment Management LLP
Holding
KO
+13.69%
3M Return

Trading Trends

    Insider
    Hedge Fund
    Congress Trading

People Also Watch

Frequently Asked Questions

What is Coca-Cola Co (KO) stock price today?

The current price of KO is 77.8 USD — it has increased 0.99

What is Coca-Cola Co (KO)'s business?

The Coca-Cola Company is a beverage company. The Company's segments include Europe, Middle East and Africa (EMEA); Latin America; North America; Asia Pacific, and Bottling Investments. It sells multiple brands across several beverage categories worldwide. Its portfolio of sparkling soft drink brands includes Coca-Cola, Sprite and Fanta. Its water, sports, coffee and tea brands include Dasani, smartwater, vitaminwater, Topo Chico, BODYARMOR, Powerade, Costa, Georgia, Fuze Tea, Gold Peak and Ayataka. Its juice, value-added dairy and plant-based beverage brands include Minute Maid, Simply, innocent, Del Valle, fairlife and Santa Clara. It operates in two lines of business: concentrate operations and finished product operations. Its concentrate operations sell beverage concentrates, syrups, including fountain syrups, and certain finished beverages to authorized bottling operations. Its finished product operations sell sparkling soft drinks and a variety of other finished beverages.

What is the price predicton of KO Stock?

Wall Street analysts forecast KO stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for KO is79.33 USD with a low forecast of 71.00 USD and a high forecast of 85.00 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.

What is Coca-Cola Co (KO)'s revenue for the last quarter?

Coca-Cola Co revenue for the last quarter amounts to 11.82B USD, increased 2.41

What is Coca-Cola Co (KO)'s earnings per share (EPS) for the last quarter?

Coca-Cola Co. EPS for the last quarter amounts to 0.53 USD, increased 3.92

How many employees does Coca-Cola Co (KO). have?

Coca-Cola Co (KO) has 65900 emplpoyees as of March 10 2026.

What is Coca-Cola Co (KO) market cap?

Today KO has the market capitalization of 334.60B USD.