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KO Overview

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$
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
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Intellectia

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High
81.385
Open
80.870
VWAP
80.99
Vol
12.38M
Mkt Cap
349.36B
Low
80.390
Amount
1.00B
EV/EBITDA(TTM)
22.72
Total Shares
4.30B
EV
379.90B
EV/OCF(TTM)
25.97
P/S(TTM)
7.07
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.
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Events Timeline

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News

Fool
2.0
11:06 AMFool
Buffett's Investment Philosophy Continues Under Abel
  • Apple's Competitive Edge: Buffett invested in Apple starting in 2016, and despite generally avoiding tech stocks, he views Apple as having a strong competitive advantage, with customer loyalty to the iPhone helping it dominate the global smartphone market, where seven of the top ten smartphones sold last year were iPhones.
  • Growing Services Revenue: Apple's services revenue has consistently reached record highs each quarter, and with a massive installed base of devices, this segment has become a new growth driver, especially with the rollout of AI features expected to further boost performance.
  • Coca-Cola's Brand Strength: Buffett began investing in Coca-Cola in the late 1980s, citing its brand strength and global distribution network as an unassailable moat, ensuring its stable position in the market.
  • Stable Dividend Returns: Coca-Cola is recognized as a
NASDAQ.COM
8.5
11:04 AMNASDAQ.COM
Buffett Maintains Positions in Apple and Coca-Cola
  • Apple's Competitive Edge: Buffett has held Apple shares since 2016, praising its strong consumer moat, as evidenced by seven of the top ten smartphones sold globally last year being iPhones, highlighting brand loyalty and market leadership.
  • Service Revenue Surge: Apple's service revenue has consistently reached record highs each quarter, and with a massive installed device base, this segment provides a new growth driver, especially with the ongoing rollout of AI features expected to further boost overall performance.
  • Coca-Cola's Steady Returns: Buffett has gradually increased his stake in Coca-Cola since the late 1980s, valuing its strong brand and global distribution network that maintain its market competitiveness; Coca-Cola's dividend income grew from $75 million in 1994 to $704 million in 2022, showcasing its stable cash flow and shareholder return capabilities.
  • Investment Style Consideration: For cautious investors seeking passive income, Coca-Cola is the ideal choice, while growth investors may find Apple appealing as it transitions to a new CEO, potentially leading to new growth opportunities, making now an opportune time to invest in both of Buffett's favored stocks.
Fool
5.0
04:06 AMFool
Buffett's Successor Abel Resumes Stock Buybacks
  • Buffett's Investment Legacy: Under Buffett's leadership, Berkshire Hathaway transformed from a struggling textile company in 1965 into a trillion-dollar holding company with a $300 billion portfolio, showcasing exceptional investment acumen and management prowess.
  • Apple Investment Returns: Buffett invested approximately $38 billion in Apple between 2016 and 2023, with the position valued at over $170 billion by early 2024, indicating a successful bet on tech stocks, as Apple represented half of Berkshire's stock portfolio.
  • Stock Buyback Strategy: Buffett authorized $77.8 billion in stock buybacks from 2018 to 2024, but surprisingly did not authorize any in 2025, reflecting his cautious approach to market timing, while new CEO Abel resumed buybacks with a $235 million authorization in Q1 2026.
  • Cash Reserves and Future Outlook: With over $360 billion in cash reserves at the start of 2026, Abel has ample funds for buybacks, and if he cannot identify significant acquisition opportunities, future buyback activities may accelerate, potentially enhancing shareholder returns.
Fool
8.5
05-18Fool
Berkshire Hathaway's Portfolio Changes Under Abel Post-Buffett Retirement
  • Portfolio Adjustments: Berkshire Hathaway's first 13-F filing under CEO Greg Abel reveals new positions in Macy's and Delta Air Lines, while closing long-term investments in Mastercard, Visa, Charter Communications, and Pool, indicating a significant shift in investment strategy.
  • Rise of Alphabet: The complete divestment from Amazon and the acquisition of over 3.5 million shares of Alphabet stock positions it as one of Berkshire's top five holdings, highlighting Abel's preference for Alphabet and potentially influencing future investment directions.
  • Cloud Market Competition: Amazon's AWS holds a 28% share of the global cloud infrastructure market, while Alphabet's Google Cloud commands 14%, with both companies experiencing rapid growth, particularly in AI applications, which may excite investors about their future performance.
  • Profitability Comparison: Despite Amazon's strong e-commerce performance with $104.1 billion in revenue, its operating income of $9.69 billion lags behind Alphabet's Google Services, which generated $40.58 billion in operating income, showcasing Alphabet's superior profitability.
Fool
2.0
05-18Fool
Analysis of Three Stable Dividend Stocks
  • Walmart's Market Advantage: With a vast network of 5,212 U.S. retail units and a 15.1% growth in global membership revenue, Walmart demonstrates strong market competitiveness, ensuring the safety of its dividend payments and long-term growth potential.
  • Coca-Cola's Brand Power: Coca-Cola, with a 64-year dividend growth history and a gross margin of 61.82%, consistently maintains stable dividend returns amid economic fluctuations; although its annual growth rate is modest, its dividend appeal remains strong.
  • McDonald's Asset-Light Model: By owning most of its restaurant real estate and charging franchisees rent, McDonald's showcases higher profit margins than traditional restaurant chains; while it has not yet reached
Fool
8.5
05-16Fool
Berkshire's 13-F Filing Under New CEO Reveals Strategic Investment Shifts
  • Stable Apple Holdings: Berkshire maintained its stake in Apple at approximately 228 million shares, which, while below the historical peak of over 900 million shares, still represents 22% of its equity portfolio, reflecting confidence in Apple's long-term value.
  • Significant Google Investment: Berkshire's share count in Alphabet surged from about 17.85 million to roughly 58 million, pushing the position's value to nearly $17 billion, indicating CEO Abel's strong confidence and willingness to invest in tech stocks.
  • Exploration of New Investment Areas: The new $2.65 billion stake in Delta Air Lines and a minor position in Macy's signal Abel's readiness to enter sectors previously avoided by Buffett, further diversifying the investment portfolio.
  • Aggressive Sell-offs: Berkshire exited positions in Amazon, Visa, Mastercard, and others, while slashing its stake in Constellation Brands by 95%, indicating Abel's intent to reshape the investment strategy and reinforce his personal style.
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
Citi
Filippo Falorni
Buy
maintain
$90 -> $91
AI Analysis
2026-05-18
New
Reason
Citi
Filippo Falorni
Price Target
$90 -> $91
AI Analysis
2026-05-18
New
maintain
Buy
Reason
Citi analyst Filippo Falorni raised the firm's price target on Coca-Cola to $91 from $90 and keeps a Buy rating on the shares. Citi sees volume benefits for Coke from this summer's World Cup. Coca-Cola is an official tournament partner that is executing its largest-ever marketing campaign for the games, the analyst tells investors in a research note.
Barclays
Overweight
maintain
$83 -> $85
2026-04-30
Reason
Barclays
Price Target
$83 -> $85
2026-04-30
maintain
Overweight
Reason
Barclays raised the firm's price target on Coca-Cola to $85 from $83 and keeps an Overweight rating on the shares. The company's Q1 offered the first evidence of a return to more meaningfully balanced growth, the analyst tells investors in a research note.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for KO
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Valuation Metrics

The current forward P/E ratio for Coca-Cola Co (KO.N) is 24.10, compared to its 5-year average forward P/E of 22.98. 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
22.98
Current PE
24.10
Overvalued PE
24.62
Undervalued PE
21.34

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
20.25
Current EV/EBITDA
20.58
Overvalued EV/EBITDA
21.80
Undervalued EV/EBITDA
18.70

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
6.04
Current PS
6.98
Overvalued PS
6.42
Undervalued PS
5.66

Financials

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Annual
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Whales Holding KO

S
Schroder Investment Management Limited
Holding
KO
+60.34%
3M Return
D
Diversify Advisory Services, LLC
Holding
KO
+19.34%
3M Return
K
Keskinäinen työeläkevakuutusyhtiö Varma
Holding
KO
+19.23%
3M Return
K
Keskinäinen vakuutusyhtiö Eläke-Fennia
Holding
KO
+18.98%
3M Return
B
Blue Sparrow, Llc
Holding
KO
+18.85%
3M Return
I
Invesco Capital Management LLC
Holding
KO
+18.60%
3M Return

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Frequently Asked Questions

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

The current price of KO is 81.2 USD — it has increased 0.47

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 12.47B USD, increased 12.07

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 0.91 USD, increased 18.18

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

Coca-Cola Co (KO) has 65900 emplpoyees as of May 19 2026.

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

Today KO has the market capitalization of 349.36B USD.