Opening the station
KO
Pulling the live station. Price, valuation, and filings are on the way.
Opening the station
Pulling the live station. Price, valuation, and filings are on the way.
Large-cap · $373.6B
The Coca-Cola Company · Consumer Defensive
$86.84
Sep 30, 2026, 03:19 UTC
Position now
Trim
Conditions are tight. Study selling some. This is not a moment to add.
Risk 60
Entry
$80.83
Study buying
Reduce
$88.63
Study selling some
Clear
$92.49
Study leaving
The last price sits between Entry and Reduce.
27% touch Entry · 89% reach Reduce
Daily
2026-09-29 · Open $86.56 · High $87.28 · Low $86.56 · Close $86.84
Worth knowing
Supportive
Worth watching
A 60-session model touched the entry area on 27% of paths and the reduce area on 89%. That is a model, not a record of past trades.
Study aid only. Hover a price to see how it is calculated.
An arrow means the reading sits high or low. A usual reading has no arrow.
| DCF fair value | $70.44 | ↑ |
|---|---|---|
| Discount station | Entry $80.83 · min(last − 2×ATR, 60-day low) | |
| Reduce / clear | $88.63 / $92.49 | |
| 60-session paths | 27% touch Entry · 89% reach Reduce | |
| PE | 26.1 (38th vs own history) | |
| PB | 10.3 (25th vs own history) | |
| Revenue growth | 2% | ↓ |
| Prior revenue growth | 3% | ↓ |
| Free cash flow | $5.3B | |
| Prior free cash flow | $4.7B | |
| FCF turned negative | No | |
| Net debt / EBITDA | 1.98 | |
| Prior net debt / EBITDA | 2.21 | |
| RSI (20-day) | 47.3 | |
| MACD histogram | -0.224 | |
| MACD read | neutral | |
| Bollinger | below lower | ↓ |
| Turnover | 0% | |
| Market, 20 sessions | SPY -0.4% · XLP -3.7% | |
| Earnings vs estimate | 5% | |
| Up days / down days | 10 up · 10 down, last 20 sessions |
Recent open-market Form 4 lines
No open-market buys or sells in the last 30 days.