WMT

Walmart Price

WMT
$122,48
-$4,20(-%3,31)

*Data last updated: 2026-04-07 19:31 (UTC+8)

As of 2026-04-07 19:31, Walmart (WMT) is priced at $122,48, with a total market cap of $988,97B, a P/E ratio of 43,44, and a dividend yield of %0,76. Today, the stock price fluctuated between $121,79 and $127,09. The current price is %0,56 above the day's low and %3,62 below the day's high, with a trading volume of 3,46M. Over the past 52 weeks, WMT has traded between $91,89 to $134,68, and the current price is -%9,05 away from the 52-week high.

WMT Key Stats

Yesterday's Close$126,79
Market Cap$988,97B
Volume3,46M
P/E Ratio43,44
Dividend Yield (TTM)%0,76
Dividend Amount$0,24
Diluted EPS (TTM)2,74
Net Income (FY)$21,89B
Revenue (FY)$713,16B
Earnings Date2026-05-21
EPS Estimate0,65
Revenue Estimate$174,44B
Shares Outstanding7,80B
Beta (1Y)0.661
Ex-Dividend Date2026-12-11
Dividend Payment Date2027-01-04

About WMT

Walmart Inc. engages in the operation of retail, wholesale, other units, and eCommerce worldwide. The company operates through three segments: Walmart U.S., Walmart International, and Sam's Club. It operates supercenters, supermarkets, hypermarkets, warehouse clubs, cash and carry stores, and discount stores under Walmart and Walmart Neighborhood Market brands; membership-only warehouse clubs; ecommerce websites, such as walmart.com.mx, walmart.ca, flipkart.com, PhonePe and other sites; and mobile commerce applications. The company offers grocery and consumables, including dairy, meat, bakery, deli, produce, dry, chilled or frozen packaged foods, alcoholic and nonalcoholic beverages, floral, snack foods, candy, other grocery items, health and beauty aids, paper goods, laundry and home care, baby care, pet supplies, and other consumable items; fuel, tobacco and other categories. It is also involved in the provision of health and wellness products covering pharmacy, optical and hearing services, and over-the-counter drugs and other medical products; and home and apparel including home improvement, outdoor living, gardening, furniture, apparel, jewelry, tools and power equipment, housewares, toys, seasonal items, mattresses and tire and battery centers. In addition, the company offers consumer electronics and accessories, software, video games, office supplies, appliances, and third-party gift cards. Further, it operates digital payment platforms; and offers financial services and related products, including money transfers, bill payments, money orders, check cashing, prepaid access, co-branded credit cards, installment lending, and earned wage access. Additionally, the company markets lines of merchandise under private brands, including Allswell, Athletic Works, Equate, and Free Assembly. The company was formerly known as Wal-Mart Stores, Inc. and changed its name to Walmart Inc. in February 2018. Walmart Inc. was founded in 1945 and is based in Bentonville, Arkansas.
SectorConsumer Defensive
IndustryDiscount Stores
CEOJohn R. Furner
HeadquartersBentonville,AR,US
Employees (FY)2,10M
Average Revenue (1Y)$339,60K
Net Income per Employee$10,42K

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Walmart (WMT) FAQ

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Walmart (WMT) is currently trading at $122,48, with a 24h change of -%3,31. The 52-week trading range is $91,89–$134,68.

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Hot Posts About Walmart (WMT)

PARON

PARON

03-28 18:55
Market paradoxes present opportunities for those who read the numbers, not the headlines. Today, we are living in a strange situation with the valuations of major companies; the "Nvidia" ( stock, which is leading the AI revolution, is currently trading at its lowest P/E ratio $NVDA since the boom began, despite recording a record 65% revenue growth last year. When you face the numbers directly, you discover the flaw in the current market logic: Nvidia’s P/E ratio of 34 and earnings growth of 38% make it appear "much cheaper" than "Walmart" )$WMT(, which trades at a P/E of 45 and a growth rate of only 12%. The gap becomes even clearer when looking at the PEG ratio )PEG Ratio(; while Nvidia registers 0.89 ) indicating high investment attractiveness (, Walmart sits at 3.75. This means you are paying less today for "growth units" in a tech giant compared to a traditional retail company. The truth that many overlook is that price does not always reflect value. A lowered valuation during peak growth periods is often due to temporary fear or macroeconomic noise caused by current war conditions. But in the end, the numbers do not lie. We are dealing with a company growing at rocket speed, yet it is priced with excessive caution. In the world of investing, true profit is made when you buy "growth" at a "recession" price. Which do you prefer in your portfolio today: a massive tech growth at a low valuation, or traditional stability at a high valuation? Share your opinion in the comments and follow me )
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