$28.15
-0.36 (-1.26%)
Day Range $28.06 — $28.54
52W Range $95.90 — $163.80
Open$28.54
Previous Close$28.51
Day High$28.54
Day Low$28.06
52W High$163.80
52W Low$95.90
Volume
Avg Volume13.46M
Market Cap292.11B
P/E Ratio13.09
EPS$6.48
SectorConsumer Cyclical

Analyst Ratings

Strong Buy
32 analysts
28 Buy 3 Hold 1 Sell

Key Financials

FY 2026 FY 2025
Revenue 4.51T 4.19T
Net Income 67.66B 56.51B
Profit Margin 1.5% 1.4%
EBITDA 71.30B 62.86B
Free Cash Flow
Rev Growth +7.8% +7.8%
Debt/Equity 0.33 0.33

Dividend

Dividend Yield3.44%
Annual Dividend$2.74
Payout Ratio20.0%
Frequencyquarterly
Ex-Dividend
Pay Date

Consumer Cyclical Peers

Symbol Name Price Change P/E Mkt Cap
TM Toyota Motor Corporation $207.01 -1.27% 11.5 42.51T
BABA Alibaba Group Holding Limited $122.05 -1.36% 19.5 263.29B
LVMUY LVMH Moët Hennessy $108.78 -0.32% 21.3 234.18B
HESAY Hermès International $192.26 -0.58% 25.8 174.49B
NIO NIO Inc $6.06 -2.88% 12.94B
XPEV XPeng Inc $17.00 -2.30% 17.34B

Quick Stats

Market Cap292.11B
P/E Ratio13.09
EPS$6.48
Div Yield3.44%
Volume
SectorConsumer Cyclical

JD Frequently Asked Questions

How much does JD stock cost right now?
JD is currently trading at $28.15, down 1.26% in today's session. Over the past 52 weeks, the stock has traded between a low of $95.90 and a high of $163.80. The current price represents 0% of its 52-week range, which helps investors gauge where the stock sits relative to its recent trading history.
What is the analyst consensus for JD?
Among 32 analysts covering JD, the consensus rating is Strong Buy — 28 rate it a buy, 3 hold, and 1 sell. Keep in mind that analyst targets reflect 12-month expectations and can shift quickly after earnings reports or major company events.
Does JD.com Inc make money?
JD.com Inc generated $4.51T in revenue during fiscal year 2026, with $67.66B reaching the bottom line as net income. The net profit margin of 1.5% reflects the competitive nature of its industry.
Is JD stock expensive based on earnings?
JD trades at a P/E ratio of 13.09 on trailing earnings of $6.48 per share. That's below the S&P 500 average, suggesting the market may see limited growth or is pricing in sector-specific risks. Comparing this multiple against Consumer Cyclical sector peers gives better context than the broad market alone, since P/E norms vary significantly across industries.