stock coca cola company: KO overview
The Coca‑Cola Company (Ticker: KO)
This article explains the stock coca cola company for investors and beginners: what the share represents, how the business drives returns, key market data, recent events and where to find verified filings and quotes. Read on to learn practical, neutral facts and how to follow KO on market platforms such as Bitget.
Introduction
The phrase stock coca cola company refers to the common equity of The Coca‑Cola Company (NYSE: KO). Investors look to the stock coca cola company for dividend income, defensive consumer‑staples exposure and steady cash flow from global beverage brands. This guide covers the stock coca cola company across listing details, valuation metrics, dividend policy, corporate actions and investor resources — with data and sources noted for verification.
As of 2026-01-25, according to market reports and company disclosures, the stock coca cola company remained a large‑cap, widely followed security listed on the New York Stock Exchange.
Company overview
The Coca‑Cola Company is a global beverage company primarily focused on nonalcoholic ready‑to‑drink brands. Its operating model relies on selling concentrates, syrups and brand licensing to a network of independent and company‑owned bottlers and distribution partners. That structure means the company captures high‑margin concentrate and brand revenues while bottlers recover many of the costs of production, packaging and local logistics.
Primary global brands include the Coca‑Cola flagship, Diet/Coke/Zero Sugar variants, Sprite, Fanta, Minute Maid, Powerade, and growing non‑carbonated lines including waters, ready‑to‑drink teas and coffees. Product and geographic diversification supports the stock coca cola company’s reputation as a defensive, consumer‑staples holding.
How the model links to investor returns: by selling concentrates and brand rights the company can generate durable operating margins and cash flow, which historically funds dividends and share repurchases that matter to holders of the stock coca cola company.
Stock listing and ticker information
- Exchange and ticker: The stock coca cola company trades under the ticker KO on the New York Stock Exchange (NYSE).
- Trading hours: Regular U.S. equity hours (typically 09:30–16:00 ET) with pre‑market and after‑hours liquidity depending on broker platform.
- Currency: USD.
- Share class: Common shares (single class) — the stock coca cola company is widely held by retail and institutional investors.
As of 2026-01-25, the stock coca cola company is classified as a large‑cap company with broad institutional coverage.
Key market data and metrics (snapshot and where to verify)
Investors commonly track price, market capitalization, valuation multiples, dividend rate and trading volume. For verified, up‑to‑date numbers consult the company’s Investor Relations site and major market data providers.
As of 2026-01-25, reported market figures for the stock coca cola company included (sources noted):
- Last trade price: $72.05 (reported in exchange most‑active lists on 2026-01-25).
- Daily volume (example session): ~2,738,179 shares traded (session snapshot on 2026-01-25).
- Market capitalization: approximately $307 billion (approximate; derived from price × shares outstanding, verify via Yahoo Finance or the Coca‑Cola IR page).
- P/E ratio (trailing‑12M): in the high‑20s (varies with price and EPS; check Morningstar or Yahoo Finance for the precise value at time of reading).
- EPS (trailing‑12M): company‑reported EPS varies by quarter; use the latest 10‑Q/10‑K or Yahoo Finance for the exact trailing figure.
- Dividend per share (annual): historically around $1.84 (company declarations fluctuate; verify latest dividend rate on Coca‑Cola IR).
- Dividend yield: typically in the ~2.5–3.5% band depending on price (example yield ~2.6% at $72.05 and an annualized dividend near $1.84).
- Beta: consumer staples companies like the stock coca cola company often show beta <1 (less volatile than the broad market).
- 52‑week range: varies; check real‑time pages (Yahoo Finance, CNBC) for the up‑to‑date low/high.
- Average daily volume (30‑/90‑day): consult market data providers for the current liquidity profile.
As of 2026-01-25, these values reflect session‑level data; always confirm current metrics at primary sources.
Sources: As of 2026-01-25, market snapshots were available via Yahoo Finance and company filings, and a price/volume snapshot appeared in exchange listings published that day.
Historical stock performance
The stock coca cola company has a long history as a publicly traded company with decades of dividend payments and multiple stock splits historically. Key historical features for investors include:
- Multi‑decade dividend growth: Coca‑Cola is typically categorized among long‑standing dividend growers, which shapes long‑term total return for holders of the stock coca cola company.
- Lower volatility versus cyclicals: The consumer‑staples nature has historically produced lower beta and less dramatic drawdowns than cyclical sectors.
- Performance versus benchmarks: Over long windows, the stock coca cola company often lags higher‑growth sectors (technology) but provides steadier income and capital preservation attributes relative to the S&P 500.
- Corporate milestones that affected the stock coca cola company price in past decades include major product launches, large acquisitions, divestitures (for example, portfolio reshaping), and macroeconomic cycles.
For exact long‑term returns (1‑, 3‑, 5‑, 10‑year), consult historical price series on Yahoo Finance, Morningstar or company filings.
Dividends and capital return policy
Dividend policy is central to the stock coca cola company’s investor proposition. Historically the company has paid consistent quarterly dividends and increased the dividend multiple years in a row — a point investors track closely.
- Dividend track record: the stock coca cola company is known for a long history of dividend distributions and frequent raises. Verify the number of consecutive years of increases and the current declared dividend per share on the Coca‑Cola Investor Relations site.
- Dividend schedule: The company typically declares quarterly dividends with an announced record/ex‑dividend date and payment date. Check the IR calendar for the most recent ex‑dividend dates.
- Share repurchases: Coca‑Cola has used buybacks alongside dividends as part of capital allocation, reducing share count over time; repurchase programs are announced in press releases and SEC filings.
As of 2026-01-25, dividend declarations, historic increases and current buyback authorizations are available in the company’s latest 10‑K/10‑Q and in IR press releases (source: Coca‑Cola IR).
Investor note: dividend yield and payment amounts change with share price and management decisions; always verify the declared dividend before making decisions.
Stock splits and corporate actions
The stock coca cola company has carried out stock splits in the past (notably earlier in its public history). More recent capital‑structure changes have come mostly via share repurchases rather than splits. Significant corporate actions affecting the stock coca cola company include acquisitions, brand disposals, or strategic investments that can alter growth expectations.
Recent notable actions (examples and where to confirm):
- Share repurchase authorizations: reported in SEC filings and quarterly earnings releases; these reduce float and can support EPS over time.
- Portfolio changes: acquisitions or divestments that affect product mix and geographic exposure are announced by the company and covered in earnings commentary (check Coca‑Cola IR and Seeking Alpha transcripts).
Major corporate events affecting the stock
Corporate governance events, management succession, and strategic portfolio moves have historically moved sentiment for the stock coca cola company. Recent themes that market observers have cited include:
- Leadership and CEO succession planning: obvious leadership transitions can change strategic emphasis and are monitored by investors and analysts.
- Portfolio repositioning: discussions and news about asset sales (for example, coffee‑related assets discussed in industry coverage) can alter revenue mix and investor expectations.
- Macro and industry shocks: regulatory actions related to sugar, packaging or environmental policies can affect long‑term margins.
As of 2026-01-25, media coverage and industry summaries (including CNBC, Seeking Alpha and TechStock² summaries) had highlighted occasional portfolio discussions and leadership planning as near‑term catalysts for sentiment toward the stock coca cola company.
Financial performance and fundamentals
Investors monitoring the stock coca cola company typically track:
- Revenue trends and geographic breakdown: Coca‑Cola reports revenue by geographic operating segment; growth or contraction in emerging markets and developed markets is important for topline momentum.
- Profitability: gross margin and operating margin trends speak to pricing, input costs and productivity gains.
- Cash flow and free cash flow (FCF): FCF supports dividends and buybacks for the stock coca cola company.
- Debt and leverage: net debt, debt maturities and interest coverage metrics are central to assessing balance‑sheet strength.
- Return metrics: ROE and ROIC indicate how efficiently the company converts capital into returns.
For numeric detail, use the company’s latest 10‑K (annual) and most recent 10‑Q (quarterly) filings. Analysts aggregate these into consensus models — check Morningstar and Seeking Alpha for summarized fundamentals.
Analyst coverage and price targets
The stock coca cola company is covered by a broad set of sell‑side analysts. Typical coverage includes consensus ratings across buy/hold/sell, earnings revisions and 12‑month price targets. Analysts debate whether Coca‑Cola is primarily a defensive income vehicle or can reaccelerate organic growth via product innovation and pricing.
As of 2026-01-25, consensus analyst narratives ranged from favoring the stock coca cola company for income stability to questioning top‑line growth ahead of product innovations and regional recoveries. For consensus price targets and rating breakdowns, consult aggregated pages on Yahoo Finance, CNBC or broker research notes.
Note: analyst price targets change frequently following quarterly results and material news.
Risks and investment considerations
Key risk categories to watch for the stock coca cola company include:
- Consumer preference shifts: moves away from sugary carbonated drinks toward low‑sugar, functional beverages can pressure legacy volumes.
- Competition: PepsiCo and local/regional beverage players compete on price, distribution and product innovation.
- Regulatory and health policy risks: taxation, labeling or sugar‑related regulations can affect sales and pricing.
- Currency and emerging‑market exposure: a meaningful portion of revenue comes from outside the U.S.; FX swings and regional economic stress can impact results.
- Leverage and interest‑rate environment: higher rates increase financing costs; debt ratios and maturity schedules are relevant for the stock coca cola company.
- ESG and packaging: sustainability regulations and consumer expectations on plastic and recycling can require capex and innovation.
These risks are commonly documented in Coca‑Cola’s risk factors in SEC filings and discussed in earnings calls.
Trading information and liquidity
- Liquidity: the stock coca cola company typically shows strong daily liquidity given its large market cap and wide institutional ownership, though session volumes vary.
- Where to trade: retail and institutional investors can trade KO shares via brokerage accounts; for investors using platforms that support U.S. equities and global markets, Bitget provides access to equities and associated tools (verify availability and region‑specific services on Bitget).
- ETFs and mutual funds: KO is a common holding in consumer‑staples‑tilted ETFs and dividend/equity income funds; use ETF holdings pages to see exposure.
- Options: KO generally has liquid options markets; investors who use options should confirm open interest and bid/ask spreads on their trading platform.
If you plan to trade the stock coca cola company, ensure your chosen broker (for example, Bitget for supported regions) offers live quotes, order types and, where relevant, options trading.
Institutional ownership and insider holdings
Institutional ownership is typically high for widely followed large‑cap names. Major asset managers, mutual funds and pension funds often appear among top holders of the stock coca cola company; insiders generally hold a much smaller percentage.
Institutional ownership can add stability but also increases sensitivity to quarterly results and changes in analyst ratings. For exact top‑holder lists and percentages, review the company’s SEC filings (Form 13F aggregated sources) or data pages on Yahoo Finance and Morningstar.
Corporate governance and management
The governance structure (board composition, committee charters) and executive team decisions influence long‑term strategy for the stock coca cola company. Key governance elements to review include board independence, executive compensation alignment with long‑term shareholder value and succession planning.
As of 2026-01-25, market coverage had discussed leadership planning in the beverage industry; verify any specific CEO succession or board changes in recent Coca‑Cola press releases and proxy statements.
Regulatory filings and investor relations resources
Primary sources for verified information about the stock coca cola company are:
- SEC filings (10‑K annual report, 10‑Q quarterly reports, 8‑K current reports and proxy statements) — found on the SEC’s EDGAR system.
- Coca‑Cola Investor Relations materials: earnings releases, historical financials, investor presentations and webcasts.
- Earnings call transcripts and slides (available on Seeking Alpha and company IR pages).
As of 2026-01-25, the company’s latest 10‑K and recent 10‑Q provide the authoritative financials and risk disclosures for the stock coca cola company; consult those before forming conclusions.
Valuation approaches and investor strategies
Common valuation frameworks used to assess the stock coca cola company include:
- Dividend Discount Model (DDM): appropriate for income‑oriented investors who expect the company to sustain and grow dividends.
- Discounted Cash Flow (DCF): models free cash flow projections and terminal value, useful for longer‑term fundamental valuation.
- Relative valuation: comparing P/E, EV/Sales, EV/EBITDA and dividend yield to consumer‑staples peers like PepsiCo and others.
Investor use cases:
- Income investors: often use the stock coca cola company for dividend yield and reliability.
- Defensive allocation: investors allocate the stock coca cola company to reduce portfolio volatility.
- Total return investors: combine dividend income with long‑term capital appreciation expectations.
All models require up‑to‑date inputs (growth, margins, discount rate); validate assumptions against recent company filings and macro conditions.
Recent news and market‑moving developments
Timely events that frequently affect the stock coca cola company include quarterly earnings, dividend announcements, management changes and notable portfolio transactions.
- As of 2026-01-25, market data lists showed KO trading near $72.05 with session volume around 2.74M shares (session snapshot reported in exchange activity that day). Please verify current price with a live market feed.
- Industry coverage has discussed portfolio decisions and leadership planning; outlets such as CNBC, Seeking Alpha and TechStock² have summarized these themes. As of 2026-01-25, those summaries noted continued focus on product innovation and potential asset moves.
As with any public company, consult the Coca‑Cola IR page and SEC filings for the authoritative record of corporate announcements.
Sources: As of 2026-01-25, price/volume session snapshots and market activity were reported in exchange listings and aggregated news pages.
Related securities and derivatives
- Options: KO generally has active options chains; check open interest and implied volatility on your trading platform before trading options on the stock coca cola company.
- ETFs: KO is included in many large ETFs and dividend funds; review ETF holdings for exposure multiples.
- Bottler and partner companies: firms such as Coca‑Cola HBC and Coca‑Cola Europacific Partners operate in adjacent parts of the value chain; these related securities reflect different operational and regional risks relative to the stock coca cola company.
- Fixed income: The Coca‑Cola Company may issue corporate bonds; fixed‑income investors should consult the company’s debt schedule in filings.
See also
- PepsiCo (ticker PEP) — a primary beverage and snack competitor (compare revenue mix and valuation).
- Consumer staples sector and sector ETFs.
- Dividend aristocrats / dividend kings lists for long‑term payers.
- Major stock market indices (S&P 500) to compare relative performance of the stock coca cola company.
References and external resources (where to verify)
- Coca‑Cola Company Investor Relations materials (SEC filings, press releases, presentations) — primary source for company disclosures and dividend schedule.
- Yahoo Finance, Morningstar, CNBC and Seeking Alpha — aggregate market data, analyst coverage, and transcript summaries.
- Broker pages (e.g., Robinhood, eToro) provide session quotes and trading tools (use for convenience, but confirm with primary sources).
As of 2026-01-25, verify price and volume snapshots in the day’s market reports and in the company’s filings for quarter‑to‑date figures.
How to follow and access the stock coca cola company (practical guide)
- Live quotes and charts: use market data pages such as Yahoo Finance or CNBC for quick quotes; validate with exchange data and the company’s IR.
- SEC filings: download the latest 10‑Q/10‑K from EDGAR to verify revenue, EPS and risk factors.
- Earnings webcasts and transcripts: listen to management commentary for guidance and read Q&A for analyst concerns.
- Trading: retail investors can buy KO shares through brokerage accounts. For users of global trading platforms, Bitget supports equity access and trading tools (check Bitget for region availability and account requirements).
- Wallets and custody (if you use web3 or tokenized exposure): for web3 wallet needs, consider Bitget Wallet where applicable. Note: equities themselves are traded and settled in brokerage/custodial systems, not typical blockchain wallets.
Neutral reminder and compliance note
This article presents factual information about the stock coca cola company and sources to verify numbers and events. It is not investment advice or a recommendation to buy or sell. For definitive guidance, consult a licensed financial professional and the company’s SEC filings.
Further exploration
If you want real‑time quotes, filings and earnings calendars for the stock coca cola company, visit the Coca‑Cola Investor Relations page and use market data providers to monitor live activity. To trade or track KO within a single platform, consider exploring Bitget’s equity trading tools and Bitget Wallet for related custody needs where supported in your jurisdiction.
Explore more: gather the latest 10‑Q or listen to the most recent earnings call to confirm the numbers cited here and keep an eye on declared ex‑dividend dates and buyback authorizations.
Report snapshot dates: As of 2026-01-25, session price and volume snapshots were reported in exchange activity lists and market data pages referenced above. For all quantifiable metrics (market cap, yield, P/E, EPS), readers should verify the precise current values on the company IR page or major market data providers.




















