The Coca-Cola Company

KO Beverages · NYSE

Market statistics

Annualised volatility 18.7%
Beta vs SPY -0.26
Market correlation -0.175
Rate sensitivity -0.10
Volatility sensitivity 0.07
Traded per day $1.2B

Measured from daily returns over the past year. That is not the same estimator as the beta quoted on most finance sites, which is usually five years of monthly returns, and in a market where single stocks move on their own news the daily figure comes out materially lower. Over this window the average large-cap correlation to the index is far below its long-run level: a low number here is a statement about the last twelve months, not a claim that the security is uncorrelated with the market in general.

As filed with the SEC twelve months to 2025-12-31 · balance sheet 2026-03-31

Revenue $47.94B
Operating income $13.76B
Net income $13.11B
Diluted EPS $3.04
Total assets $104.22B
Shareholders’ equity $33.63B
Cash & equivalents $10.57B

Short selling — three different measurements

Shares short 39.2M
Days to cover 2.8
Change vs prior -12.5%
Short share of volume 38.0%
Largest fail balance 661,030
Dates with a fail balance 24

These measure different things and are routinely confused. Shares short is an outstanding position, reported twice monthly (settlement 2026-08-14). Short share of volume counts sell-side transactions flagged short each day, most of which is market-maker hedging closed the same session — the market-wide median is around half. Fail balances are shares that did not settle on time; the SEC states these are cumulative balances whose age cannot be determined, and they are not evidence of naked short selling.

Ownership

Institutions reporting a position 3,528
Reported value $229.81B

Largest reported holdersamong the managers stored here

ManagerReported valueShares
Berkshire Hathaway Inc $30.42B 400,000,000
BlackRock, Inc. $25.37B 333,596,781
VANGUARD CAPITAL MANAGEMENT LLC $18.06B 237,452,767
STATE STREET CORP $12.80B 167,222,395
FMR LLC $8.18B 107,577,934
VANGUARD PORTFOLIO MANAGEMENT LLC $7.60B 99,948,626
GEODE CAPITAL MANAGEMENT, LLC $7.05B 92,954,629
MORGAN STANLEY $6.99B 91,894,070

On the public record

Moves most like

Ticker1-year correlationVolatility vs KO
IYK iShares U.S. Consumer Staples ETF 0.758 0.75×
XLP State Street Consumer Staples Select Sector SPDR ETF 0.704 0.77×
VDC Vanguard Consumer Staples ETF 0.694 0.75×
FSTA Fidelity MSCI Consumer Staples Index ETF 0.692 0.75×
KXI iShares Global Consumer Staples ETF 0.679 0.70×
RSPS Invesco S&P 500 Equal Weight Consumer Staples ETF 0.649 0.81×
CL Colgate-Palmolive Company 0.600 1.21×
CCEP Coca-Cola Europacific Partners plc 0.589 1.21×

What is on this page

Everything this site holds about one security, from sources that are all public record. The figures come from different places and mean different things, so each block says where it came from.

What is deliberately absent

No price, no chart, no market capitalisation, no valuation ratio. The daily price history behind the statistics above is licensed from a commercial vendor and cannot be republished — and publishing a market cap alongside a share count would hand the price straight back. Every number here is either a public filing or a statistic from which the underlying series cannot be reconstructed.

Coverage

US securities trading at least $1 million a day with three years of history. Sections appear only where there is something to show: a fund has no income statement, most companies have no activist stake, and only a few dozen listed companies hold material federal contracts.