What is the average annual stock price change for Walmart?
Walmart Historical Annual Stock Price Data Year Average Stock Price Year Open Year High Annual % Change 2021 139.4054 146.5300 148.9700 -1.80% 2020 129.6013 118.9400 152.7900 21.30% 2019 108.4054 93.3400 121.2800 27.58% 2018 92.3698 98.5900 109.5500 -5.67% 28 more rows ...
What is Walmart's (WMT) return on equity (ROE)?
For a detailed definition, formula and example for ROE, check out our new background page here. Current and historical return on equity (ROE) values for Walmart (WMT) over the last 10 years. Return on equity can be defined as the amount of net income returned as a percentage of shareholders equity.
What is the highest and lowest Walmart stock price ever?
1 The all-time high Walmart stock closing price was 152.79 on November 30, 2020. 2 The Walmart 52-week high stock price is 153.66, which is 10.9% above the current share price. 3 The Walmart 52-week low stock price is 118.22, which is 14.7% below the current share price. 4 The average Walmart stock price for the last 52 weeks is 139.29.
Should you look at Walmart Inc (WMT) stock’s gains and losses over 52 weeks?
For analyzing trends, some investors give more importance to gains and losses over a 52 week period than longer durations like 10 years. If you also think so, have a look at the 52 weeks report for WMT. Let us now see 10 biggest one-day losses of Walmart Inc (WMT) stock.
What is Walmart's ROE for the year of 2018?
Return on equity, or ROE, is a measure of the amount of profit earned per dollar of owner investment. ROE is computed by dividing net income by equity. In 2018, Walmart's ROE was 9%.
What is Walmart's return on equity?
Walmart Inc.'s return on equity, or ROE, is 19.05% compared to the ROE of the Retail - Supermarkets industry of 19.05%. While this shows that WMT makes good use of its equity, this metric will vary significantly from industry to industry.
What is the average return on common stock?
The average stock market return is about 10% per year for nearly the last century. The S&P 500 is often considered the benchmark measure for annual stock market returns. Though 10% is the average stock market return, returns in any year are far from average.
What is Walmart's return on assets?
Analysis. Walmart's latest twelve months return on assets is 5.5%. Walmart's return on assets for fiscal years ending January 2018 to 2022 averaged 5.3%. Walmart's operated at median return on assets of 5.6% from fiscal years ending January 2018 to 2022.
What is Walmart's ROE in 2019?
Compare WMT With Other StocksWalmart ROE - Return on Equity Historical DataDateTTM Net IncomeReturn on Equity2019-07-31$12.85B16.52%2019-04-30$8.38B10.89%2019-01-31$6.67B8.57%48 more rows
What is Walmart's ROE 2021?
17.4%Walmart's return on common equity hit its five-year low in January 2019 of 8.9%. Walmart's return on common equity decreased in 2018 (12.7%, -26.5%), 2019 (8.9%, -30.0%), 2021 (17.4%, -14.1%) and 2022 (16.7%, -4.1%) and increased in 2020 (20.2%, +128.0%).
What is the average stock market return over 3 years?
The S&P 500 index is a basket of 500 large US stocks, weighted by market cap, and is the most widely followed index representing the US stock market. S&P 500 3 Year Return is at 50.15%, compared to 40.26% last month and 55.40% last year. This is higher than the long term average of 22.50%.
How do you find the return on common stock?
First, grab net income from the income statement (sometimes it's called "net earnings" and found in the "earnings statement"). Next, pull shareholders' (or "stockholders'") equity from the balance sheet. Divide the first figure by the second, and voila, you've figured out the return on stock equity.
What was the average stock market return in 2021?
26.89%A key takeaway from the above table of stock market returns is that most of the annual returns in the past decade are above the historic average of 10%. This is an unusually strong 10-year period in the market....Stock Market Returns By Year.YearRate of Return202126.89%202016.26%201928.88%2018-6.24%6 more rows•May 27, 2022
What is common stock par value for Walmart?
$0.10 per shareTitle of each className of each exchange on which registeredCommon Stock, par value $0.10 per shareNew York Stock Exchange2 more rows
What is Walmart profitability ratio?
As of Q2 2020, Walmart's P/E ratio is about 23.88, meaning that WMT shares trade in the market at around 24 times the earnings per share.
What is Walmart's gross profit margin?
Walmart's latest twelve months gross profit margin is 24.9%. Walmart's gross profit margin for fiscal years ending January 2018 to 2022 averaged 25.0%. Walmart's operated at median gross profit margin of 25.1% from fiscal years ending January 2018 to 2022.
What is a good return on equity?
ROE is used when comparing the financial performance of companies within the same industry. It is a measure of the ability of management to generate income from the equity available to it. A return of between 15-20% is considered good. ROE is also used when evaluating stocks, as well as other financial ratios.
What is Walmart debt to equity ratio?
Debt-to-Equity Ratio Walmart's D/E ratio as of July 31, 2021, was 1.74.
What is Target's return on equity?
Analysis. Target's latest twelve months return on common equity is 45.5%. Target's return on common equity for fiscal years ending February 2018 to 2022 averaged 32.7%. Target's operated at median return on common equity of 28.3% from fiscal years ending February 2018 to 2022.
Why is Walmart's ROE low?
Walmart's Debt And Its 19% ROE Although Walmart does use debt, its debt to equity ratio of 0.70 is still low. The combination of modest debt and a very respectable ROE suggests this is a business worth watching.
Stock Chart
Walmart first offered common stock to the public in 1970 and began trading on the New York Stock Exchange (NYSE: WMT) on August 25, 1972. We have provided an annual cash dividend, paid quarterly, to shareholders since first declaring a dividend in 1974.
Cost Basis Calculator
For historical cost basis information, you may use NetBasis to calculate the cost basis for your Walmart common stock, adjusted for any corporate actions or dividend reinvestments.
How does relative valuation work for Walmart?
Relative valuation technique determine the value of Walmart Inc. by comparing it to similar entities (like industry or sector) on the basis of several relative ratios that compare its stock price to relevant variables that affect the stock’s value, such as earn ings, book value, and sales.
What is a cash flow statement?
The cash flow statement provides information about Walmart Inc.’s cash receipts and cash payments during an accounting period, showing how these cash flows link the ending cash balance to the beginning balance shown on Walmart Inc.’s balance sheet.
How to calculate EBITDA?
To calculate EBITDA analysts start with net earnings. To that earnings number, interest, taxes, depreciation, and amortization are added. EBITDA as a pre-interest number is a flow to all providers of capital.
What is the rationale for the P/S ratio?
An rationale for the P/S ratio is that sales, as the top line in an income statement, are generally less subject to distortion or manipulation than other fundamentals such as EPS or book value. Sales are also more stable than earnings and never negative. Calculation. Comparison to Competitors.
What is CAPM in economics?
CAPM is a theory concentrated with deriving the expected rates of return on risky assets based on the assets’ systematic risk levels. Systematic risk is the variability of returns that is due to macroeconomic factors that affect all risky assets. It cannot be eliminated by diversification.
What is free cash flow?
Free cash flow to the firm is the cash flow available to the Walmart Inc.’s suppliers of capital after all operating expenses have been paid and necessary investments in working and fixed capital have been made.