Home

Nike, Inc. Common Stock (NKE)

72.10
-0.21 (-0.29%)
NYSE · Last Trade: Sep 18th, 7:05 PM EDT
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close72.31
Open73.44
Bid72.07
Ask72.20
Day's Range71.63 - 73.60
52 Week Range52.28 - 90.62
Volume14,907,287
Market Cap61.67B
PE Ratio (TTM)33.38
EPS (TTM)2.2
Dividend & Yield1.600 (2.22%)
1 Month Average Volume10,364,835

Chart

About Nike, Inc. Common Stock (NKE)

This company is a leading global sportswear brand that designs, develops, and markets a wide range of athletic footwear, apparel, and equipment. It is known for its innovative products, high-quality materials, and cutting-edge technology, catering to athletes and fitness enthusiasts across various sports and activities. The brand also emphasizes sustainability and community engagement, often collaborating with athletes, designers, and organizations to promote a healthy lifestyle and social responsibility. Through its extensive retail network and online platforms, the company aims to inspire and empower individuals to pursue their athletic goals. Read More

News & Press Releases

Federal Reserve Navigates Stagflationary Headwinds with Dovish Pivot
Washington D.C. - The U.S. Federal Reserve finds itself at a critical juncture, facing an economic environment that is increasingly raising the specter of "stagflation" – a challenging combination of elevated inflation and a softening labor market. In a significant policy shift, the Fed recently cut its benchmark interest
Via MarketMinute · September 18, 2025
Snap (SNAP) Stock Trades Up, Here Is Why
Shares of social network Snapchat (NYSE: SNAP) jumped 3.8% in the morning session after an analyst note from JMP Securities highlighted positive feedback from major marketers about the platform's performance. 
Via StockStory · September 18, 2025
Nike Unusual Options Activitybenzinga.com
Via Benzinga · September 18, 2025
Upgrade Points To Revenue Surprise, And World Cup Gains For Nikeinvestors.com
Nike stock sees upgrade, price target hikes on potential revenue gains. Could the World Cup generate $1.3 billion in sales?
Via Investor's Business Daily · September 18, 2025
Nike Shares Are Rising Premarket: Here's Whystocktwits.com
Via Stocktwits · September 18, 2025
This CSX Analyst Turns Bullish; Here Are Top 5 Upgrades For Thursdaybenzinga.com
Via Benzinga · September 18, 2025
2 Reasons to Buy Lululemon Stock (and 1 Reason to Sell)fool.com
The athleisure leader is in one of its largest drawdowns ever.
Via The Motley Fool · September 18, 2025
Marvin Yubini: The Voice of a Generation Redefining Modern Rap and Culture
Colorado, U.S. - At just 19 years old, Marvin Yubini is not only shaping the future of hip-hop - he’s reinventing what it means to be an artist, entrepreneur, and cultural icon. Born on January 31, 2006, in Colorado, Yubini has rapidly emerged as a powerful force in the global music scene. A multi-hyphenate talent - rapper, singer, songwriter, musician, producer, and music executive — Marvin Yubini is the proud founder and owner of YBYUBINIYB RECORDS, an independent label setting bold new standards in artistic freedom and innovation.
Via GlobePRwire · September 18, 2025
3 Consumer Stocks That Fall Short
The performance of consumer discretionary businesses is closely linked to economic cycles. Thankfully for the industry, all signs are pointing up as discretionary stocks have gained 25.9% over the past six months, beating the S&P 500’s 17.5% return.
Via StockStory · September 18, 2025
Q2 Earnings Outperformers: Caleres (NYSE:CAL) And The Rest Of The Footwear Stocks
The end of an earnings season can be a great time to discover new stocks and assess how companies are handling the current business environment. Let’s take a look at how Caleres (NYSE:CAL) and the rest of the footwear stocks fared in Q2.
Via StockStory · September 17, 2025
The Specter of Stagflation: Is the Economy Headed for Stagnant Growth and High Inflation?
The U.S. Federal Reserve’s recent decision to cut interest rates has sent a tremor of concern through financial markets, sparking fears of a potential return to stagflation—an economic phenomenon characterized by the unsettling combination of stagnant growth, high unemployment, and persistent inflation. This unprecedented monetary easing comes
Via MarketMinute · September 17, 2025
Echoes of the Past: Historical Context of the Fed's Latest Rate Cut
In a highly anticipated move on September 17, 2025, the Federal Reserve announced a modest 0.25% reduction in the federal funds rate, bringing its target range to between 4.00% and 4.25%. This decision marks the first rate cut since December 2024, signaling a strategic pivot towards easing
Via MarketMinute · September 17, 2025
Anticipated Easing: Expert Forecasts for the Economy Post-0.25% Rate Cut
As the financial world braces for a potential shift in monetary policy, expert predictions are coalescing around the short-term economic outlook following a hypothetical 0.25% interest rate cut by the Federal Reserve. This anticipated move, while modest, signals a strategic pivot by the central bank from an aggressive stance
Via MarketMinute · September 17, 2025
Navigating the New Era: Bond Market Braces for Volatility After Fed's Rate Reduction
The financial world is abuzz following the Federal Reserve's decisive move to cut its benchmark interest rate by 0.25%, a pivotal shift signaling a more accommodative monetary policy amidst signs of a softening labor market. This reduction, the first since December 2024, has immediately sent ripples through the bond
Via MarketMinute · September 17, 2025
Federal Reserve Signals Further Easing: A Delicate Balancing Act for the U.S. Economy
The Federal Reserve recently initiated a pivotal shift in its monetary policy, enacting a 0.25% interest rate cut on September 17, 2025. This move, the first reduction since December 2024, lowers the federal funds rate to a target range of 4.00%-4.25% and signifies a strategic reorientation
Via MarketMinute · September 17, 2025
Nike’s Red-Hot Analyst Buzz: Is a Comeback Brewing?marketbeat.com
Nike has been battered, but a run of analyst upgrades and signs of improving fundamentals suggest a comeback rally could be brewing.
Via MarketBeat · September 17, 2025
Beyond the US: Global Stock Markets' Response to Fed Policy
The long arm of the U.S. Federal Reserve extends far beyond American shores, its monetary policy decisions acting as a powerful determinant for the health and direction of stock markets across the globe. In an era of profound financial interconnectedness, the Fed's pronouncements on interest rates and quantitative easing
Via MarketMinute · September 17, 2025
Federal Reserve Poised for Rate Cut: A New Era of Market Optimism or Lingering Concerns?
Global financial markets are buzzing with widespread anticipation as the Federal Reserve is expected to implement its first interest rate cut of 2025 this week. A 25-basis-point reduction, largely priced in by investors, is slated to adjust the target range for the federal funds rate to 4.00%-4.25%
Via MarketMinute · September 17, 2025
Nike's Sales, Margins Show Progress — But Tariffs Still Cast A Shadowbenzinga.com
Nike (NYSE: NKE) is showing signs of recovery with improved sales, cleaner inventories, and stronger wholesale orders. Analysts are optimistic, maintaining a Buy rating and $84 price target.
Via Benzinga · September 17, 2025
Is Lululemon Stock Finally a Buy Below $170?fool.com
The apparel brand is in one of its largest drawdowns ever.
Via The Motley Fool · September 17, 2025
Navigating the Storm: Investment Strategies for an Unpredictable 2025
The financial landscape is bracing for a turbulent 2025, as expert consensus points towards a significant uptick in market volatility. This anticipated shift, driven by a complex interplay of global policies, stubbornly high inflation, and persistent geopolitical tensions, signals a departure from recent market dynamics, demanding a proactive and adaptable
Via MarketMinute · September 16, 2025
Market Euphoria: S&P 500 and Nasdaq Soar to New Highs as Trump Pauses Tariff Onslaught
The financial markets in 2025 have been a rollercoaster, culminating in a period of unprecedented euphoria. Both the S&P 500 and the Nasdaq Composite have surged to remarkable new all-time highs, largely driven by a pivotal shift in trade policy: the Trump administration's strategic pause in escalating tariff increases.
Via MarketMinute · September 16, 2025
Why Bessent's Tariff Talk Puts Dollar-Sensitive Stocks On Edgebenzinga.com
Via Benzinga · September 16, 2025
The Widening Chasm: Unpacking the Alarming Disparity in Executive Compensation
The chasm between the compensation of corporate chief executives and their average employees has grown into an unprecedented gulf, raising fundamental questions about economic fairness, corporate governance, and societal stability. With the CEO-to-median-worker pay ratio in the United States currently hovering around an astonishing 290-to-1 to 324-to-1 for major companies,
Via MarketMinute · September 16, 2025
Global Inflation's Persistent Grip: A Complex Outlook for 2025
The global economic landscape for 2025 is shaping up to be a period of continued, albeit moderating, inflationary pressures, defying earlier hopes for a swift return to pre-pandemic price stability. While central banks and international organizations project a gradual decline in headline inflation rates, underlying forces such as robust wage
Via MarketMinute · September 16, 2025