Costco Wholesale (COST)
1,014.96
+18.40 (1.85%)
NASDAQ · Last Trade: Apr 3rd, 2:38 PM EDT
Detailed Quote
| Previous Close | 996.56 |
|---|---|
| Open | 1,008.00 |
| Bid | 1,013.60 |
| Ask | 1,014.33 |
| Day's Range | 999.21 - 1,016.00 |
| 52 Week Range | 844.06 - 1,067.08 |
| Volume | 1,828,612 |
| Market Cap | 448.68B |
| PE Ratio (TTM) | 54.36 |
| EPS (TTM) | 18.7 |
| Dividend & Yield | 5.200 (0.51%) |
| 1 Month Average Volume | 1,774,206 |
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About Costco Wholesale (COST)
Costco Wholesale is a membership-based warehouse club that offers a wide range of products, including groceries, electronics, clothing, and household goods, at competitive prices. The company operates large retail locations where members can purchase bulk items, benefiting from lower prices due to the efficient supply chain and membership model. In addition to its physical stores, Costco provides a range of services, such as a pharmacy, optical department, and a food court, further enhancing the value proposition for its members. Through its commitment to quality and customer satisfaction, Costco has established a loyal customer base and a strong presence in the retail market. Read More
News & Press Releases
As of April 3, 2026, The Procter & Gamble Company (NYSE: PG) finds itself at a pivotal crossroads. Long considered the "gold standard" of the consumer staples sector, the Cincinnati-based giant is currently navigating a period of significant internal transition and external macroeconomic volatility. While the company remains a cornerstone of the global economy, providing [...]
Via Finterra · April 3, 2026
As of April 3, 2026, Walmart Inc. (WMT: NYSE) stands not merely as the world’s largest brick-and-mortar retailer, but as a sophisticated, tech-powered ecosystem that has fundamentally redefined the "big box" paradigm. Long regarded as a defensive value play for conservative portfolios, Walmart has spent the last decade aggressively pivoting toward an omnichannel model that [...]
Via Finterra · April 3, 2026
Sector mix, yield, and fees shape how these consumer staples ETFs fit different investor priorities beyond just price or payout.
Via The Motley Fool · April 2, 2026
These stocks have repeatedly proven their ability to survive challenges.
Via The Motley Fool · April 2, 2026
Expense ratios, sector exposure, and fund size set these two consumer staples ETFs apart for investors weighing cost versus coverage.
Via The Motley Fool · April 2, 2026
Fee structure, portfolio makeup, and dividend yield set these two consumer staples ETFs apart for investors weighing their options.
Via The Motley Fool · April 2, 2026
Expense ratios, diversification strategies, and dividend payouts set these two consumer staples ETFs apart.
Via The Motley Fool · April 2, 2026
Is it time to move into safer stocks?
Via The Motley Fool · April 2, 2026

The likelihood of a recession has increased significantly since February, according to the predictions market platform Kalshi.
Via The Motley Fool · April 2, 2026

Expense ratios, sector mix, and yield set these funds apart -- here's how their strategies could fit different portfolio goals.
Via The Motley Fool · April 2, 2026

Explore how subtle differences in portfolio makeup and yield could influence your approach to consumer staples investing.
Via The Motley Fool · April 2, 2026
COST hits $1007, trading above key moving averages with a bullish MACD. Explore Costco's technical outlook and key resistance levels.
Via Benzinga · April 2, 2026

Expense ratios, sector focus, and yield set these ETFs apart. See how their strategies could impact your consumer staples allocation.
Via The Motley Fool · April 2, 2026

Explore the minor differences between these two nearly identical consumer staples ETFs.
Via The Motley Fool · April 2, 2026
The market seems to be favoring stability.
Via The Motley Fool · April 2, 2026

Expense ratios, yield, and diversification set these two consumer staples ETFs apart -- see which fund is the best fit for your portfolio.
Via The Motley Fool · April 2, 2026

Explore how differing portfolio strategies and fees set these two consumer staples ETFs apart for long-term investors.
Via The Motley Fool · April 2, 2026
The war in Iran doesn't seem to be slowing down and that's impacting oil prices, but that's just the beginning. Higher costs could hit many industries, which will have lasting impacts for years.
Via The Motley Fool · April 1, 2026
Via MarketBeat · April 1, 2026
As of April 1, 2026, the global consumer landscape is undergoing a profound structural shift. For the consumer staples giant Procter & Gamble (NYSE: PG), this era is defined by a "valuation reset" and a high-stakes leadership transition. Long regarded as the gold standard of defensive investing, P&G is currently navigating a complex environment where [...]
Via Finterra · April 1, 2026
As of April 1, 2026, Walmart Inc. (Nasdaq: WMT) stands as a testament to the power of corporate reinvention. Once the quintessential symbol of brick-and-mortar retail and "Everyday Low Prices," the company has spent the early 2020s aggressively shedding its reputation as a legacy giant to emerge as a technology-first, omnichannel powerhouse. With a market [...]
Via Finterra · April 1, 2026
Via MarketBeat · April 1, 2026
History says the Nasdaq-100 could more than investors' money by 2031.
Via The Motley Fool · April 1, 2026

These stocks are very reasonably priced today.
Via The Motley Fool · April 1, 2026
