Nike, Inc. Common Stock (NKE)
67.37
+0.53 (0.79%)
NYSE · Last Trade: Oct 18th, 6:05 AM EDT
Detailed Quote
Previous Close | 66.84 |
---|---|
Open | 66.63 |
Bid | 67.40 |
Ask | 67.59 |
Day's Range | 66.32 - 67.77 |
52 Week Range | 52.28 - 84.76 |
Volume | 10,054,086 |
Market Cap | 57.63B |
PE Ratio (TTM) | 34.55 |
EPS (TTM) | 1.9 |
Dividend & Yield | 1.600 (2.37%) |
1 Month Average Volume | 18,286,689 |
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
In a dramatic shift that sent ripples of relief through global financial markets, US equity futures trimmed significant losses and stocks rallied after President Donald Trump's remarks eased mounting trade fears with China. The conciliatory tone, following a period of heightened tensions and aggressive tariff threats, provided a much-needed respite
Via MarketMinute · October 17, 2025
Is the dip in Nike's shares a buying opportunity or a value trap?
Via The Motley Fool · October 17, 2025
As the craze of earnings season draws to a close, here’s a look back at some of the most exciting (and some less so) results from Q2. Today, we are looking at footwear stocks, starting with Deckers (NYSE:DECK).
Via StockStory · October 16, 2025
As the Q2 earnings season wraps, let’s dig into this quarter’s best and worst performers in the footwear industry, including Genesco (NYSE:GCO) and its peers.
Via StockStory · October 16, 2025
Global financial markets are currently navigating a treacherous landscape marked by a pronounced surge in investor risk aversion. As of October 16, 2025, a potent cocktail of persistent geopolitical instability, enduring economic uncertainties, and lingering concerns over banking sector fragility has compelled investors to retreat from riskier assets, fundamentally reshaping
Via MarketMinute · October 16, 2025
The Federal Reserve is poised for a significant shift towards monetary policy easing, as revealed in the latest SF FedViews publication released today, October 16, 2025. Sylvain Leduc, Executive Vice President and Director of Research at the Federal Reserve Bank of San Francisco, presented a nuanced economic assessment, highlighting an
Via MarketMinute · October 16, 2025
The global financial markets are once again grappling with a significant uptick in volatility, as the CBOE Volatility Index (VIX), often dubbed Wall Street's "fear gauge," experienced a dramatic surge in early October 2025. This sudden jolt, driven by renewed geopolitical tensions and domestic fiscal concerns, has sent ripples through
Via MarketMinute · October 16, 2025
The financial markets are abuzz this week as prominent analyst firms have delivered a starkly contrasting set of outlooks for two major public companies: Lululemon Athletica Inc. (NASDAQ: LULU) and T-Mobile US, Inc. (NASDAQ: TMUS). Lululemon, the athletic apparel giant, has faced a cascade of downgrades and price target reductions,
Via MarketMinute · October 16, 2025
Tanger Inc. (NYSE:SKT), a leading owner and operator of outlet and open-air retail shopping destinations, has declared a quarterly cash dividend of $0.2925 per share. The announcement, made on Tuesday, October 14, 2025, reflects the company's robust financial health and its ongoing commitment to returning value to shareholders.
Via MarketMinute · October 15, 2025
New York, NY – October 15, 2025 – The Dow Jones Industrial Average (DJIA) experienced a fractional dip today, reflecting a palpable sense of caution pervading market sentiment. While other major indices like the Nasdaq and S&P 500 managed to eke out modest gains, the Dow's struggle underscores an underlying apprehension
Via MarketMinute · October 15, 2025
The Dow Jones Industrial Average (DJIA) concluded a volatile trading day on Wednesday, October 15, 2025, with a fractional dip, signaling a cautious, if not overtly negative, sentiment pervading the broader market. While the tech-heavy Nasdaq and the benchmark S&P 500 managed to eke out modest gains, the Dow's
Via MarketMinute · October 15, 2025
Global financial markets are once again gripped by uncertainty as a renewed trade standoff between the United States and China sends major indices spiraling into the red. In a week marked by heightened volatility, the Dow Jones Industrial Average (DJIA), S&P 500 (SPX), and Nasdaq Composite (IXIC) have all
Via MarketMinute · October 15, 2025
Via Benzinga · October 15, 2025
Via Benzinga · October 15, 2025
The landscape of global retail is undergoing a profound transformation, with multinational companies increasingly looking beyond their saturated home markets to fuel future growth. This strategic pivot is exemplified by Lululemon Athletica Inc. (NASDAQ: LULU), which is demonstrating robust international momentum, particularly across Asia and Europe, effectively counterbalancing a noticeable
Via MarketMinute · October 14, 2025
Washington D.C. – The Federal Reserve has sent clear signals of a continued dovish pivot, with Chair Jerome Powell indicating the likelihood of two additional quarter-point interest rate cuts before the close of 2025. This aggressive stance comes on the heels of a September rate reduction and is primarily driven
Via MarketMinute · October 14, 2025
The financial markets have been gripped by a tumultuous week, culminating in significant volatility for the Dow Jones Industrial Average (DJIA). After an initial, sharp decline that erased substantial value, the Dow staged a notable recovery, only to succumb to renewed pressures, signaling a market caught between geopolitical anxieties and
Via MarketMinute · October 14, 2025
As of mid-October 2025, the long-simmering trade dispute between the United States and China has erupted into a full-blown economic confrontation, sending shockwaves across global financial markets. A rapid escalation of reciprocal tariffs, expanded export controls, and targeted sanctions from both Washington and Beijing has triggered significant stock market volatility
Via MarketMinute · October 14, 2025
New York, NY – October 14, 2025 – Global financial markets are once again gripped by a palpable sense of unease as escalating trade hostilities between the United States and China send shockwaves across major indices. The Dow Jones Industrial Average, S&P 500, and Nasdaq Composite have experienced a tumultuous period,
Via MarketMinute · October 14, 2025
Some world-class businesses have tumbled to bargain prices in the face of short-term challenges.
Via The Motley Fool · October 14, 2025
Expensive stocks typically earn their valuations through superior growth rates that other companies simply can’t match.
The flip side though is that these lofty expectations make them particularly susceptible to drawdowns when market sentiment shifts.
Via StockStory · October 14, 2025
Global financial markets have experienced a significant resurgence, marked by a robust rebound in US stock markets, as recent signals point towards an easing of the protracted trade tensions between the United States and China. After a period of heightened volatility and a sharp market downturn, a shift in rhetoric
Via MarketMinute · October 13, 2025
As the 2025 holiday season approaches, a wave of caution is sweeping through the retail sector. Major retailers across the United States are reportedly scaling back or outright delaying their holiday hiring plans, a significant departure from pre-pandemic norms. This strategic retrenchment is a direct response to persistent economic uncertainty,
Via MarketMinute · October 13, 2025
Golf has long been a sport where tradition met practicality, but over the years, something remarkable has happened: golf apparel has evolved into a significant style statement, transcending the greens and taking a broader place in everyday fashion. In this exploration, we'll navigate the intriguing transformation of golf garments, from their humble beginnings centered on functionality to their current status as trendy, lifestyle-informed apparel infused with both heritage and flair. Let’s jump into this fascinating evolution and see how various influences have shaped today’s golf fashion landscape, where even your custom golf headwear can make as bold a statement off the course as on it.
Via AB Newswire · October 13, 2025
The week of October 13, 2025, promises to be a crucible for global financial markets, with investors grappling with a confluence of high-stakes events. Escalating US-China trade tensions, a critical but delayed Consumer Price Index (CPI) data release, and the highly anticipated commencement of the third-quarter corporate earnings season are
Via MarketMinute · October 12, 2025