TM
TM
NYSE · Consumer Cyclical

Toyota Motor Corporation

$170.38
-3.56 (-2.05%)
Day Range $170.27 — $172.28
52W Range $2,409.00 — $4,000.00
Open$171.71
Previous Close$173.94
Day High$172.28
Day Low$170.27
52W High$4,000.00
52W Low$2,409.00
Volume
Avg Volume17.50M
Market Cap44.21T
P/E Ratio11.96
EPS$283.43
SectorConsumer Cyclical

Analyst Ratings

Buy
26 analysts
18 Buy 8 Hold 0 Sell

Key Financials

FY 2026 FY 2025
Revenue 759.25T 658.78T
Net Income 75.32T 58.81T
Profit Margin 9.9% 9.4%
EBITDA 110.14T 90.79T
Free Cash Flow
Rev Growth +15.3% +15.3%
Debt/Equity 1.08 1.08

Dividend

Dividend Yield2.84%
Annual Dividend$85.38
Payout Ratio23.8%
Frequencyquarterly
Ex-Dividend
Pay Date

Consumer Cyclical Peers

Symbol Name Price Change P/E Mkt Cap
BABA Alibaba Group Holding Limited $105.03 -1.93% 21.5 292.44B
LVMUY LVMH Moët Hennessy $117.17 +0.93% 22.1 240.62B
HESAY Hermès International $202.49 +2.63% 38.3 173.13B
NIO NIO Inc $5.13 +2.19% 15.66B
XPEV XPeng Inc $13.46 +1.89% 17.01B
LI Li Auto Inc $12.89 -2.42% 113.3 146.16B

TM Frequently Asked Questions

What is the current share price of TM?
TM is currently trading at $170.38, down 2.05% in today's session. Over the past 52 weeks, the stock has traded between a low of $2,409.00 and a high of $4,000.00. The current price represents 0% of its 52-week range, which helps investors gauge where the stock sits relative to its recent trading history.
Is TM rated a buy or sell by analysts?
Among 26 analysts covering TM, the consensus rating is Buy — 18 rate it a buy, 8 hold, and 0 sell. Keep in mind that analyst targets reflect 12-month expectations and can shift quickly after earnings reports or major company events.
What are Toyota Motor Corporation's earnings?
Toyota Motor Corporation generated $759.25T in revenue during fiscal year 2026, with $75.32T reaching the bottom line as net income. The net profit margin of 9.9% reflects the competitive nature of its industry.
How is TM valued compared to earnings?
TM trades at a P/E ratio of 11.96 on trailing earnings of $283.43 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.