Switch to Dark

Pricing

Learn

KO logo

KO - Coca-Cola Co

4603


$74.75

-$0.80 (-1.059%)
At market close

$75.33

$0.58 (0.769%)
After Hours 3/20/26, 11:39 PM
Stock Unlock LogoScore

3.79/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
Coca-Cola Co logo

Coca-Cola Co

Stock Unlock Logo
Stock Unlock
Sign Up
Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
21.42%
15.93%
28.52%
28.87%
25.13%
2025-03-28
31.21%
2025-09-26
29.13%
2025-12-31
Net Margin
25.49%
18.88%
25.89%
26.61%
23%
2025-03-28
27.34%
2025-09-26
27.34%
2025-12-31
Gross Margin
1.19%
0.9%
61.44%
61.53%
61.07%
2025-03-28
61.63%
2025-09-26
61.63%
2025-12-31
Free Cash Flow Margin
--
--
4.8%
4.76%
-1.98%
2025-03-28
11.69%
2025-09-26
11.05%
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-262025-06-272025-03-282024-12-31
Get more features by creating a free Stock Unlock account:
2 portfolios, 5 positions per portfolio
2 watchlists, up to 10 tickers per watchlist
More screener searches
2024-09-272024-06-282024-03-292023-12-312023-09-292023-06-302023-03-312022-12-312022-09-302022-07-012022-04-012021-12-312021-10-01
Margins
Gross Margin
61.63%
61.63%
61.43%
61.07%
42K%
4308333
141052
6522024
3782675
1562559
9457207
4209966
8983072
4450731
207877
1328496
7488359
7751853
SGA Margin
30.29%
30.14%
30.57%
30.85%
42K%
9232516
9167120
1768342
3910014
4622635
9425905
8647895
227573
2309436
4823106
3770076
9532577
8819413
Operating Margin
29.13%
31.21%
28.62%
25.13%
42K%
5970333
731458
3544579
983755
2005250
1474522
9441617
9682427
2930369
330655
4510130
2082128
9980013
EBITDA Margin
31.32%
33.49%
30.94%
27.43%
42K%
5842735
2456519
7826554
1095458
5276582
6348921
2362890
4809654
4234834
678015
7257253
2106947
6148759
Net Margin
27.34%
27.34%
25.89%
23.00%
42K%
419358
4435858
9921966
4071455
4082327
588255
1208743
7133627
4858413
2193044
998308
112858
8265485
Free Cash Flow Margin
11.05%
11.69%
-1.53%
-1.98%
42K%
6333412
239883
1039378
1238391
7243641
288740
3417754
7124538
2487610
6330998
9633993
5516229
782297
Operating Cash Flow Margin
15.45%
15.95%
2.76%
2.29%
42K%
5447963
4929762
7103152
9094381
2514920
1754791
9877715
6645981
185389
558553
2214405
776733
1153504
Valuation Metrics
Market Cap
300,725,470
282,621,840
302,700,300
302,872,470
42,069,000
7745646
6289431
7489451
9086294
953519
1212543
3207713
9325418
6458024
6447310
5873593
715048
597584
Enterprise Value
330,411,470
314,256,840
337,849,300
338,196,470
42,069,000
777822
284923
7904256
2834507
2496521
9818291
2344929
2150944
5621872
9801325
2304642
4885552
8568968
Price to Sales
6.27
5.93
6.43
6.46
42,069
8839730
9854716
6736668
2795043
5165875
2808740
9298337
2246474
3274655
6473526
3364169
240607
9137343
Price to Gross
10.18
9.62
10.47
10.58
42,069
4946660
2684279
2178642
7168413
8105800
6617517
8272432
6018888
2663941
8513401
4525831
251143
9431469
Price to Operating Cash Flow
40.59
37.17
232.67
281.74
42,069
5380477
2940905
3081792
1390109
9160965
590528
7738375
6736986
5962970
3335429
5062215
7383854
7894483
Price to Operating Income
21.53
19
22.47
25.71
42,069
6312332
6731075
2591369
2445367
6934256
749707
4751563
2145423
9479264
2606021
8642946
3320840
2263441
Price to Earnings
22.94
21.69
24.85
28.09
42,069
6049793
1410771
1712157
879056
2496669
7134224
9019413
895426
4547636
5438515
2998676
8429548
1733126
Price to Free Cash Flow
56.78
50.74
0
0
42,069
6343568
6912982
8978517
9537648
3923593
169771
1269516
1860142
3878377
33199
8505676
3498213
1487656
Management
Return On Assets
12.50%
12.29%
11.68%
10.60%
42K%
9546685
3267376
1147002
5116597
1916386
2404489
1983492
9903678
6973465
2104458
3930043
6526552
865545
Return On Capital Employed
16.72%
17.80%
16.35%
15.12%
42K%
6460923
9486811
234132
7343587
1148653
6546813
1316357
9489139
8078743
944875
468590
5829532
419959
Return On Equity
40.74%
41.70%
42.62%
41.16%
42K%
441044
1987360
4687663
5069636
229130
3881094
8364629
3413026
112680
5976525
5268142
7093053
7288373
Return On Invested Capital
16.48%
18.30%
15.53%
13.92%
42K%
2124266
5259510
5908589
419879
6525993
3700113
8282736
3876402
4769231
8728384
6903549
6926810
8041634
Dividends
Dividends Per Share
2.04
2.01
1.99
1.97
42,069
1891750
3922086
739068
4174478
7871269
617451
5552799
9811143
9665367
2379561
8971753
8573944
9287483
Free Cash Flow Payout Ratio
165.70%
157.62%
0.00%
0.00%
42K%
7262531
223401
8615078
9275182
4306753
8327159
7512412
2313634
9508631
5259644
8187113
7652344
6155501
Payout Ratio
66.95%
67.37%
72.07%
81.42%
42K%
2110680
762133
6845525
942012
31600
8541253
204443
8987254
2880580
2818813
2158217
841755
9629748
Stock Based Compensation
SBC as a % of FCF
5.27%
5.08%
0.00%
0.00%
42K%
6698160
5572160
2561608
1297142
4831772
4912038
606543
4643197
6338103
1121196
4023513
569228
7684099
SBC as a % of OCF
3.77%
3.72%
21.21%
26.14%
42K%
4166229
5260659
3807017
7975491
6063467
9808971
3390810
6156507
408990
9092722
3872145
9527680
5904886
SBC as a % of Revenue
0.58%
0.59%
0.59%
0.60%
42K%
924785
4916211
5541987
6250497
9854013
2799396
5358695
9306919
4734506
8269663
9278108
9694551
4149607
FCF Excl. SBC Yield
1.67%
1.87%
-0.33%
-0.40%
42K%
26774
3352634
6786209
1328585
1194881
4720901
8681523
70695
8294841
5536870
1622023
9556599
6417174
Per Share
Free Cash Flow Per Share
1.23
1.29
-0.17
-0.22
42,069
1637596
2231581
7099676
3781319
8537085
8928447
1550722
4860504
6020874
2110738
7900197
8448108
6789537
Operating Cash Flow Per Share
1.72
1.76
0.3
0.25
42,069
4665313
323983
4854601
8218941
6990276
3958015
3977461
2705071
5809215
9297696
9962796
7558796
3121701
Revenue Per Share
11.12
11.05
10.91
10.87
42,069
9703361
9328546
2940082
8677950
7682446
6634814
7149678
7942956
1870168
8709576
706112
5391098
5208167
Financial Health
Debt to EBITDA Ratio
3.03
2.97
3.4
3.82
42,069
7225685
2019431
8780457
6347450
3171191
9062682
310300
4342962
8737134
1706654
1162365
1958631
729334
Interest Coverage Ratio
8.44
8.99
7.98
7.09
42,069
923722
5186230
1781918
7159548
6822866
1555671
4444834
4681734
4444442
6713891
559723
8197182
7631529
Net Debt
29,686,000
31,635,000
35,149,000
35,324,000
42,069,000
7698601
2769725
2081481
7065411
2215005
9401509
437754
8100254
4590966
5832025
7172756
4938262
7072397
Total Debt
45,492,000
47,416,000
49,446,000
49,111,000
42,069,000
3624170
8709044
1980775
510249
520989
9006440
2220509
3129482
4827603
8469859
2334134
586848
8705653