Nike, Inc. Common Stock (NKE)
74.29
-2.68 (-3.48%)
NYSE · Last Trade: Sep 2nd, 5:45 PM EDT
Detailed Quote
Previous Close | 76.97 |
---|---|
Open | 75.64 |
Bid | 74.40 |
Ask | 74.47 |
Day's Range | 74.00 - 76.05 |
52 Week Range | 52.28 - 90.62 |
Volume | 15,061,174 |
Market Cap | 63.54B |
PE Ratio (TTM) | 34.39 |
EPS (TTM) | 2.2 |
Dividend & Yield | 1.600 (2.15%) |
1 Month Average Volume | 8,854,832 |
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
A number of stocks fell in the afternoon session after the major indices continued to retreat amid profit-taking and renewed concerns about tariffs.
Via StockStory · September 2, 2025
September is historically the worst month for stocks, but these 10 S&P 500 companies have consistently delivered gains.
Via Benzinga · September 2, 2025
Nike To Lay Off 1% Corporate Staff: Reportstocktwits.com
Via Stocktwits · August 28, 2025
Klarna, a BNPL rival of Affirm, aims to raise up to $1.27 billion in its IPO. Affirm stock has advanced 41% in 2025.
Via Investor's Business Daily · September 2, 2025
XRP's legal battles are finally over. Now it needs to deliver.
Via The Motley Fool · September 2, 2025
Via Benzinga · September 1, 2025
Earnings results often indicate what direction a company will take in the months ahead. With Q2 behind us, let’s have a look at GXO Logistics (NYSE:GXO) and its peers.
Via StockStory · August 31, 2025
Wall Street analysts see upside for these discounted growth stocks.
Via The Motley Fool · August 31, 2025
The financial markets in 2025 are navigating a tempestuous sea of geopolitical uncertainty, where international relations, aggressive trade policies, and an evolving regulatory landscape are acting as powerful crosscurrents. These forces are not merely creating ripples; they are fundamentally reshaping global market dynamics, driving persistent volatility, and forcing corporations to
Via MarketMinute · August 29, 2025
The global economy finds itself increasingly ensnared in a complex web of trade conflicts, with recent escalations, particularly the increased tariff rates on imports from India, casting a long shadow over corporate earnings and complicating the arduous battle against inflation. This deepening protectionist trend is forcing multinational corporations to fundamentally
Via MarketMinute · August 29, 2025
A significant sector rotation is currently underway in equity markets, shifting investor capital away from the mega-cap technology stocks that dominated recent years towards more traditional value and cyclical segments. This trend, gaining significant momentum in 2025, sees sectors such as financial services, basic materials, healthcare, energy, and industrials outperforming,
Via MarketMinute · August 29, 2025
Shares of footwear company Crocs (NASDAQ:CROX)
jumped 0.3% in the morning session after the company announced the appointment of a new Chief Financial Officer and reaffirmed its third-quarter financial guidance.
Via StockStory · August 29, 2025
Crocs reached $89.61 on Friday after the footwear maker unveiled a finance leadership change and reiterated its near-term outlook.
Via Benzinga · August 29, 2025
Strategic cuts aim to reclaim market share and strengthen core business.
Via Talk Markets · August 28, 2025
The global economic landscape remains deeply entrenched in a complex and often volatile trade conflict between the United States and China. What began in January 2018 as a series of targeted duties has escalated significantly through 2025, with both nations frequently adjusting and reinstating tariffs, creating a tangled web of
Via MarketMinute · August 28, 2025
NIKE, Inc. (NYSE: NKE) plans to release its first quarter fiscal 2026 financial results on Tuesday, September 30, 2025, at approximately 1:15 p.m. PT, following the close of regular stock market trading hours. Following the news release, NIKE, Inc. management will host a conference call beginning at 2:00 p.m. PT to review results.
By NIKE, Inc. · Via Business Wire · August 28, 2025
The Federal Reserve finds itself at a critical juncture, navigating a treacherous path between aggressive market demands for interest rate cuts and the persistent realities of an economy that defies easy categorization. While financial markets have been consistently pricing in a series of rate reductions, the central bank is grappling
Via MarketMinute · August 28, 2025
Via Benzinga · August 28, 2025
Not all great businesses make great investments.
Via The Motley Fool · August 28, 2025
The flood of reports from retail companies tells us a lot about consumer spending. Plus the market is once again buying into meme stocks and SPACs. Is this time different?
Via The Motley Fool · August 28, 2025
The Federal Reserve is on the cusp of a significant shift in its monetary policy, with strong indications pointing towards an interest rate cut in September 2025. This widely anticipated move, primarily influenced by a softening labor market and moderating inflation, has sent ripples through financial markets, igniting optimism among
Via MarketMinute · August 27, 2025
The financial markets are bracing for a pivotal shift in monetary policy as the Federal Reserve, facing a complex interplay of persistent inflation, a softening labor market, and unprecedented political pressures on its independence, signals a growing openness to interest rate cuts in the latter half of 2025. This delicate
Via MarketMinute · August 27, 2025
Via Benzinga · August 27, 2025

An unprecedented sum of approximately $7.19 trillion currently sits in money market funds, a colossal reservoir of capital that has captivated the attention of financial strategists worldwide. This monumental accumulation, largely driven by elevated interest rates and a flight to safety, is now seen as a potential catalyst for
Via MarketMinute · August 27, 2025