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Coca-Cola Company Stock Analysis

NYSE: KO | Consumer Staples | Soft Drinks & Non-alcoholic Beverages
Price $86.86 $0.73 (-0.83%)
P/E Ratio 23.0 TTM
52-Week Range
Low $65 High $91
Market Cap $374.63B USD
ROE 40.7% Annual

Market data as of Aug 3, 2026 · Financials as of Dec 2025

Published Apr 27, 2026 · Updated Jul 26, 2026

Let's break down Coca-Cola Company (KO), from its financial performance to how the market is valuing the stock.

Top-Line Growth

A 1.9% jump in revenue took Coca-Cola Company's top line to $47.94B in FY2025.

The 10-year revenue CAGR of 0.8% is on the lower side. Coca-Cola Company's top line moved from $44.29B to $47.94B, but real growth has been thin.

In terms of scale, Coca-Cola Company's $47.94B in annual revenue positions it as a mid-cap consumer staples company.

Coca-Cola Company has posted revenue growth for 5 consecutive years, that's a sustained trend, not a one-off.

Revenue Trend
Year Revenue YoY %
FY2025 $47.94B +1.9%
FY2024 $47.06B +2.9%
FY2023 $45.75B +6.4%
FY2022 $43.00B +11.3%
FY2021 $38.66B +17.1%

View the detailed revenue trend and growth analysis

Business Segments

Here's how Coca-Cola Company's FY2025 revenue breaks down across its 2 reported segments.

Product Revenue Mix (FY2025)

Concentrate operations59.4% · $28.46B
Finished product operations40.6% · $19.48B
SegmentRevenue% of Total
Concentrate operations$28.46B59.4%
Finished product operations$19.48B40.6%

The biggest contributor is Concentrate operations, accounting for 59.4% of Coca-Cola Company's revenue.

Geographically, Coca-Cola Company's revenue is split across International (60%) and United States (40%).

Profitability Analysis

Coca-Cola Company delivered net income of $13.11B in FY2025, a solid 23.3% jump from $10.63B in FY2024.

Margins moved in the right direction, with net margin rising to 27.3% from 22.6%.

Earnings per share (diluted) were $3.04 in FY2025, up from $2.46.

View Coca-Cola Company's complete earnings and margin analysis

Coca-Cola Company's Capital Returns

Coca-Cola Company paid a dividend of $2.04 per share in FY2025, translating to a yield of approximately 2.47%.

With 10+ consecutive years of dividend payments, Coca-Cola Company has a proven track record of returning cash to shareholders.

The 67.0% payout ratio suggests the dividend is comfortably covered by earnings, with room to grow.

Annual Dividend Summary
Year DPS Payout Ratio
FY2025 $2.04 67.0%
FY2024 $1.93 78.7%
FY2023 $1.83 74.2%
FY2022 $1.75 79.9%
FY2021 $1.67 74.3%

Coca-Cola Company has been actively repurchasing shares, spending $20.42B on buybacks over the past 11 years.

See Coca-Cola Company's buyback history alongside shares outstanding below

Financial Strength

Coca-Cola Company Debt & Equity Overview (FY2025)
Metric Value
Cash & Short-term Investments $13.87B
Total Debt $45.49B
Shareholders' Equity $32.17B
Total Assets $104.82B
Debt-to-Equity Ratio 1.41x
Current Ratio 1.46x
Interest Coverage 8.3x
Free Cash Flow (TTM) $5.30B

Coca-Cola Company has a debt-to-equity ratio of 1.41, a current ratio of 1.46, interest coverage of 8.3x in FY2025, which indicate a well-capitalized balance sheet with comfortable debt levels.

Leverage is a factor: Coca-Cola Company's $45.49B in total debt against $32.17B in equity results in a 1.41x D/E ratio, above-average for most sectors.

At 1.46x, Coca-Cola Company's current ratio suggests solid short-term financial flexibility.

At 8.3x interest coverage, Coca-Cola Company has substantial headroom above its debt payments.

Strong free cash flow generation of $5.30B gives Coca-Cola Company financial flexibility for capital allocation.

See the detailed financial health breakdown in the charts

As of FY2025, Coca-Cola Company's workforce stood at 65,900, about $727.5K in revenue per employee.

Explore Coca-Cola Company's headcount trend and workforce productivity

What Is Coca-Cola Company Worth?

What's Coca-Cola Company actually worth? We run the numbers through multiple valuation models.

Coca-Cola Company shares are currently trading at $86.86.

The P/E Ratio model estimates an intrinsic value of $83, implying a 4.4% downside from the current price.

We also calculate intrinsic value using the DCF and EPS Growth models. Sign up to see the full breakdown with fair value estimates.

Valuation Models
Model Est. Fair Value vs. Current Price
P/E Ratio $83 4.4% downside to fair value
DCF Upgrade Upgrade
EPS Growth Upgrade Upgrade

What Stands Out

In summary, Coca-Cola Company (KO) presents the following picture for fundamental analysts.

Revenue of $47.94B in FY2025, up 1.9% year-over-year.

Long-term revenue has been compounding at 0.8% annually over 10 years.

The company is profitable, with a net margin of 27.3% and net income of $13.11B.

Returned $9.53B to shareholders in FY2025 through dividends and/or buybacks.

The P/E Ratio model implies 4.4% downside to fair value. The remaining 2 models are worth cross-checking before drawing a conclusion. Sign up to see the full analysis.

Explore Coca-Cola Company's complete financial data, including valuation models and historical trends, in the charts below.

Frequently Asked Questions

How much revenue does Coca-Cola Company generate?
Coca-Cola Company generated $47.94B in revenue during FY2025.
What are Coca-Cola Company's profit margins?
Coca-Cola Company's net profit margin was 27.3% in FY2025.
Does Coca-Cola Company pay a dividend?
Yes, Coca-Cola Company pays a regular dividend to shareholders.
What is the fair value of Coca-Cola Company stock?
Based on the P/E ratio model, Coca-Cola Company appears roughly fairly valued near its estimated fair value of $83.
What sector is Coca-Cola Company in?
Coca-Cola Company (KO) operates in the Consumer Staples sector, specifically in the Soft Drinks & Non-alcoholic Beverages industry.

What does Coca-Cola Company do?

Coca-Cola manufactures, markets, and sells nonalcoholic beverages worldwide through a network of independent bottling partners and distributors. Its portfolio spans sparkling soft drinks, water, sports drinks, coffee, tea, and juices under brands including Coca-Cola, Sprite, Fanta, Dasani, Powerade, Minute Maid, Simply, BODYARMOR, smartwater, Costa, and Topo Chico.

Detailed Charts

Coca-Cola Company Performance

5-year trend showing revenue, gross profit, and net profit

FY2021 – FY2025

Coca-Cola Company's revenue grew 1.9% to $47.94B and net profit grew 23.3% to $13.11B YoY in FY2025, indicating modest business momentum.

Understanding Company Performance

Revenue is Coca-Cola Company's total income from operations. Gross Profit is revenue minus cost of goods sold — the higher it is relative to revenue, the stronger the company's pricing power. Net Profit is the bottom line after all expenses, taxes, and interest. Consistent growth across all three signals a healthy, expanding business. Compare with peers in the same sector.

Is Coca-Cola Company Profitable?

5-year trend showing gross, operating, and net profit margins

FY2021 – FY2025

Coca-Cola Company's net profit margin of 27.3% in FY2025 reflects excellent profitability, with operating margin at 28.7% and gross margin at 61.6%.

Understanding Profitability Margins

Gross Profit Margin (GPM) shows what percentage of Coca-Cola Company's revenue remains after direct production costs. Operating Profit Margin (OPM) factors in operating expenses like R&D and SG&A. Net Profit Margin (NPM) is the final profitability after all costs including interest and taxes. Stable or improving margins indicate pricing power and cost discipline.

Coca-Cola Company Revenue & Earnings Growth

5-year trend showing revenue and diluted EPS

FY2021 – FY2025

Coca-Cola Company's revenue grew 1.9% YoY in FY2025, with EPS growing 23.6%, modest growth.

Understanding Revenue & Earnings Growth

Revenue is Coca-Cola Company's total income from operations — the top line. Diluted EPS (Earnings Per Share) is net income divided by all shares that could exist if stock options, RSUs, and convertibles were exercised. Revenue shows how fast the business is growing; EPS shows how much of that growth reaches shareholders after all costs and dilution. Healthy companies tend to grow both in tandem; when revenue grows but EPS shrinks, margins are compressing. Use our stock screener to compare growth profiles across companies.

Coca-Cola Company Compound Annual Growth Rate (CAGR)

Metric 1-Year 5-Year 10-Year
Revenue +1.9% +7.7% +0.8%
Net Income +23.3% +11.1% +6.0%
EPS +23.6% +11.2% +6.2%
Share Price +26.1% +8.8% +7.1%

Coca-Cola Company's 10-year revenue CAGR of 0.8% reflects slow growth, with EPS CAGR of 6.2% outpacing revenue, indicating improving profitability. The share price has compounded at 7.1% annually over a comparable period, broadly tracking fundamentals.

Coca-Cola Company Quarterly Performance

Quarterly revenue and net income with a weekly share-price overlay

Upgrade to see the full 5 years (20 quarters) of quarterly data.

FY2025 – FY2026

How to Read Quarterly Performance

Quarterly revenue and net income are Coca-Cola Company's most recent three-month results. Each bar shows net income nested inside revenue, since profit is the slice of revenue left after all costs; the taller the green portion relative to the blue, the more of each sales dollar reached the bottom line. A bar below zero is a quarterly loss.

For a long-term view, compare each quarter with the same quarter a year earlier (year-over-year), not with the previous quarter — sequential change is mostly seasonality (for many businesses the holiday quarter is always the biggest). Then watch the trend across several years: is year-over-year revenue growth accelerating or fading; is net income growing at least as fast as revenue (expanding vs compressing margins)? One quarter is noise — the multi-quarter trend is the signal.

Coca-Cola Company Share Price vs Book Value

Coca-Cola Company (KO) share price vs book value per share — FY2016 – FY2025

Understanding Share Price vs Book Value

Share Price is what the market pays per share of Coca-Cola Company. Book Value per Share (BVPS) is the company's net equity divided by diluted shares — the accounting floor if the company were liquidated today. When price tracks close to book value the market sees the company as a steady asset; when price runs far above book the market is paying up for expected future earnings. For banks, book value is the primary valuation anchor; for most other companies it's one signal among many.

Unlock Valuation Analysis

Get fair value estimates from multiple valuation models and see whether a stock is undervalued or overvalued.

  • Multi-model fair value estimates (P/E, DCF, EPS Growth)
  • Undervalued/overvalued assessment with upside potential
  • Compare fair values across methodologies

Coca-Cola Company Free Cash Flow

5-year trend — cash generated after reinvestment

FY2021 – FY2025

Coca-Cola Company's free cash flow of $5.30B in FY2025 represents a 11.0% FCF margin — healthy cash generation supporting dividends, buybacks, or debt reduction.

Understanding Free Cash Flow

Free Cash Flow (FCF) is Coca-Cola Company's operating cash flow minus capital expenditure — the cash left over after maintaining and growing the business. Unlike net profit, FCF strips out non-cash items (depreciation, stock-based compensation) and includes actual cash spent on assets. Positive FCF means the company can pay dividends, buy back shares, reduce debt, or make acquisitions without raising capital. Consistently negative FCF signals the company is burning cash and may need external funding.

Coca-Cola Company Financial Ratios

Balance sheet strength and debt servicing capacity

FY2021 – FY2025

Debt-to-Equity

1.41

▼ from 1.80

Current Ratio

1.46

▲ from 1.03

Interest Coverage

8.3x

▲ from 6.03

Coca-Cola Company has a debt-to-equity ratio of 1.41, a current ratio of 1.46, interest coverage of 8.3x in FY2025, which indicate a well-capitalized balance sheet with comfortable debt levels.

Understanding Financial Health

Debt-to-Equity (D/E) measures how much debt the company carries relative to shareholder equity — lower means less leverage risk. Current Ratio divides current assets by current liabilities — above 1.0 means the company can cover short-term obligations. Interest Coverage is operating income divided by interest expense — higher means the company earns well above its debt payments. Together these three metrics reveal whether a company can weather downturns without financial distress.

Coca-Cola Company Shares Outstanding

Diluted share count per fiscal year — labels show year-over-year change

FY2021 – FY2025

Coca-Cola Company's diluted shares decreased modestly by 0.2% YoY in FY2025 — a small net buyback.

Understanding Shares Outstanding

Diluted shares outstanding counts every share of Coca-Cola Company that could exist if all stock options, RSUs, and convertibles were exercised. A shrinking count signals buybacks (returning cash to shareholders by reducing the denominator of EPS). A growing count signals dilution — usually from stock-based compensation, secondary offerings, or stock-funded acquisitions. Routine 1–2% growth is typical at large-cap tech companies that pay employees in equity; sustained growth above 5% warrants a look at the cause.

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