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PepsiCo (PEP)

142.99
+0.13 (0.09%)
NASDAQ · Last Trade: Nov 6th, 12:35 PM EST
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Detailed Quote

Previous Close142.86
Open142.41
Bid142.97
Ask143.01
Day's Range141.42 - 143.16
52 Week Range127.60 - 167.96
Volume2,274,341
Market Cap197.63B
PE Ratio (TTM)27.18
EPS (TTM)5.3
Dividend & Yield5.692 (3.98%)
1 Month Average Volume7,386,047

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About PepsiCo (PEP)

PepsiCo is a global food and beverage leader, known for producing a diverse range of products that include well-known brands in the beverage, snack, and food categories. The company operates in various segments, offering carbonated and non-carbonated drinks, as well as an assortment of snack foods, including chips, cereals, and nutrition bars. PepsiCo is committed to innovation and sustainability, continuously adapting its product offerings to meet changing consumer preferences and dietary requirements while focusing on reducing its environmental footprint. Through its extensive distribution network, the company reaches consumers in more than 200 countries, making it a key player in the global food and beverage industry. Read More

News & Press Releases

Why Celsius (CELH) Stock Is Trading Lower Today
Shares of energy drink company Celsius (NASDAQ:CELH) fell 23.8% in the morning session after the company reported mixed earnings. The company announced impressive year-over-year revenue growth of 173% to $725.1 million, slightly ahead of estimates. Adjusted earnings per share of $0.42 also comfortably beat the consensus forecast. However, investors appeared to focus on the company's deteriorating profitability. Celsius reported a negative operating margin of 11%, a sharp decline from the negative 1.2% margin in the same quarter last year. This drop suggested that operating expenses, such as marketing and administrative costs, grew even faster than its impressive sales, raising concerns about its cost controls and the efficiency of its rapid expansion. Despite the strong top-line performance, the significant pressure on profitability seemed to spook investors, leading to the sharp sell-off.
Via StockStory · November 6, 2025
Celsius CFO Warns of Q4 ‘Noise’ Amid Alani Nu Pepsi Rollout, But Retail Goes Contrarianstocktwits.com
Via Stocktwits · November 6, 2025
Market Momentum Stalls: Valuations Under Scrutiny as Bullish Run Faces Headwinds
As November 2025 unfolds, the global stock markets find themselves at a critical juncture, struggling to reclaim the robust bullish momentum that characterized much of the preceding years. A palpable shift in investor sentiment is emerging, with an increasing number of market participants questioning the lofty valuations, particularly within the
Via MarketMinute · November 6, 2025
Celsius Takes $247 Million Hit From Termination Costs, Piles Up Debtbenzinga.com
CELSIUS slips premarket despite Q3 beat; captures 20.8% U.S. energy-share as international sales climb on Nordics, U.K. and Australia momentum.
Via Benzinga · November 6, 2025
Celsius (NASDAQ:CELH) Exceeds Q3 Expectations But Stock Drops 12.2%
Energy drink company Celsius (NASDAQ:CELH) reported Q3 CY2025 results topping the market’s revenue expectations, with sales up 173% year on year to $725.1 million. Its non-GAAP profit of $0.42 per share was 49.7% above analysts’ consensus estimates.
Via StockStory · November 6, 2025
What Are Wall Street Analysts' Target Price for PepsiCo Stock?
PepsiCo has lagged the S&P 500 Index over the past year, but analysts remain cautiously upbeat about its near-term outlook.
Via Barchart.com · November 6, 2025
Navigating the Tempest: Market Consolidation Amidst Post-Slide Uncertainty
The financial markets, still reeling from a tumultuous period marked by significant downturns, are now grappling with an uneasy attempt at consolidation. As of November 5, 2025, investors are witnessing a landscape fundamentally altered by a series of sharp slides, most notably the tariff-induced crash of April 2025 and a
Via MarketMinute · November 5, 2025
Economic Crossroads: How Key Indicators Are Steering the Stock Market Through Moderation and Policy Shifts
The financial markets are currently navigating a complex and often contradictory economic landscape, heavily influenced by a suite of critical indicators such as jobs data and the Purchasing Managers' Index (PMI). From late 2024 through November 2025, these barometers of economic health have signaled a period of deliberate rebalancing, characterized
Via MarketMinute · November 5, 2025
Navigating the Tempest: Unpacking the Market Volatility of Late 2025
The global financial markets are currently gripped by a palpable sense of unease, as significant stock swings and heightened volatility define the investment landscape of late 2025. This turbulent period is primarily driven by a complex interplay of geopolitical tensions, evolving interest rate expectations, and lingering concerns over inflated valuations
Via MarketMinute · November 5, 2025
Earnings Season Echoes: Navigating the Volatility of Corporate Reports
The financial markets are once again in the throes of earnings season, a period that consistently proves to be a crucible for individual stock valuations and a significant driver of broader market sentiment. Recent corporate earnings reports, spanning from late 2024 through the third quarter of 2025, have painted a
Via MarketMinute · November 5, 2025
Stable Commodity Prices Sweeten Corporate Earnings: Britannia Leads the Way with Robust Q2 Profit Surge
In a significant boost for the food and beverage sector, stable commodity prices are proving to be a powerful tailwind for corporate profitability, with Britannia Industries (NSE: BRITANNIA) emerging as a prime example. The Indian bakery giant recently announced a substantial 23% rise in its second-quarter profit, a performance largely
Via MarketMinute · November 5, 2025
Market Crossroads: The Fading Gold Rush and the Peril of Overheated Equities
The financial world is currently at a critical juncture, grappling with a pervasive narrative that the "gold rush is over" for commodities, particularly gold, while stock markets are increasingly viewed as "overheated." This dual sentiment signals a profound shift in investor psychology and asset allocation strategies, prompting a re-evaluation of
Via MarketMinute · November 5, 2025
Kenvue's $48.7 Billion Sale Puts Consumer Staples ETFs Back In Voguebenzinga.com
The $48.7 billion Kimberly-Clark–Kenvue deal could reshape major consumer staples ETFs like XLP, VDC, and IYK.
Via Benzinga · November 4, 2025
The Shadow of Doubt: Why Investors Are 'Taking Fright' as Markets Brace for Reality
In the dynamic world of finance, where fortunes are made and lost in the blink of an eye, a chilling sentiment has begun to grip investors: the idea that stocks can, indeed, go down. This isn't merely a theoretical understanding; it's a palpable fear translating into cautious market behavior and
Via MarketMinute · November 4, 2025
Precious Metals Under Pressure: Dollar Rallies, Stocks Retreat, and Rate Outlook Weighs Heavily
As of November 4, 2025, the global financial markets are witnessing a significant shift, with a rallying US dollar and a retreating stock market exerting considerable downward pressure on gold and silver prices. This confluence of macroeconomic factors, primarily driven by a hawkish outlook on interest rates, is creating a
Via MarketMinute · November 4, 2025
Wall Street Titans Warn of Impending Stock Market Correction
New York, NY – November 4, 2025 – Major Wall Street institutions, Goldman Sachs (NYSE: GS) and Morgan Stanley (NYSE: MS), have issued fresh and urgent warnings regarding a potential significant stock market correction. Speaking at the Global Financial Leaders' Investment Summit in Hong Kong today, their top executives articulated growing concerns
Via MarketMinute · November 4, 2025
Yum! Brands (NYSE:YUM) Reports Sales Below Analyst Estimates In Q3 Earnings
Fast-food company Yum! Brands (NYSE:YUM) fell short of the markets revenue expectations in Q3 CY2025, but sales rose 8.4% year on year to $1.98 billion. Its non-GAAP profit of $1.58 per share was 6.7% above analysts’ consensus estimates.
Via StockStory · November 4, 2025
Alcoa (AA) Soars as Aluminum Prices Hit 17-Month High Amidst Green Energy Boom
Alcoa Corporation (NYSE: AA) is experiencing a significant surge in positive momentum as global aluminum prices have climbed to a remarkable 17-month high. This robust uptrend, observed in late October and early November 2025, sees aluminum futures on the London Metal Exchange (LME) hovering around $2,900 per tonne, levels
Via MarketMinute · November 3, 2025
Warren Buffett's Investing Rules -- Simplified for New Stock Investorsfool.com
Warren Buffett is one of the most followed investors on Wall Street. Even though he's set to retire, his simple and timeless rules are worth learning.
Via The Motley Fool · November 3, 2025
The Invesco Food & Beverage ETF (PBJ) Tops the First Trust Nasdaq Food & Beverage ETF (FTXG) in Size and Long Term Growthfool.com
The Invesco Food & Beverage ETF (PBJ) Tops the First Trust Nasdaq Food & Beverage ETF (FTXG) in Size and Long Term Growth
Via The Motley Fool · November 2, 2025
2 Undervalued, High-Quality Companies to Buy Now and Hold Foreverfool.com
These two Dividend Kings have similar businesses and both are attractively priced today.
Via The Motley Fool · November 2, 2025
These Reliable Payers Could Deliver a 5% Yield With Minimal Riskfool.com
If you are looking for reliable dividend stocks, this trio has you covered with yields of up to 5.8%.
Via The Motley Fool · November 1, 2025
Messi vs Ronaldo: The Ultimate Off-Pitch Business Battle (2024-2025)
After 15+ years of on-pitch rivalry, these two legends have transformed into billion-dollar businesses. Here's who's really winning the commercial game.
Via GlobePRwire · October 30, 2025
How FOCUSfactor® Beverage Could Push Synergy CHC Corp. (NASDAQ: SNYR) Revenues Beyond $100M in 2026 Watch Now!
Synergy CHC Corp. (NASDAQ: SNYR), a leading consumer health and wellness company, is emerging as one of the most under-the-radar growth stories in the booming $100 billion-plus functional beverage market.
Via AB Newswire · October 30, 2025
Navigating the Aftermath: Market Outlook Post-Declines Amidst Trade Truce and Rate Uncertainty
The global financial markets, as of October 30, 2025, are grappling with a complex interplay of factors, following a day characterized by stock futures pointing to a lower open and investor caution. This recent dip comes on the heels of major indexes hitting record highs, only to retract slightly after
Via MarketMinute · October 30, 2025