Is the price of Home Depot USA the same as that of Amazon

Trading venue closed: Select Tradegate stock exchange

All Home Depot courses

Course sourceCurrent course+/-in %datetimeMoney letter
XetraTrading venue closed: 258.80 EUR -1,80 -0,69% n / A. / n / A.
StuttgartTrading venue closed: 260.20 EUR +3,10 +1,20% Trading venue closed: n.a. / n / A.
Long & Black Excha ...Trading venue closed: 258.60 EUR -0,60 -0,23% 258,600 / 260,000
TradegateTrading venue closed: 259.20 EUR +0,80 +0,30% 258,900 / 259,600
FrankfurtTrading venue closed: 260.00 EUR 0,00 0,00% n / A. / n / A.
HamburgTrading venue closed: 259.80 EUR +2,90 +1,12% n / A. / n / A.
BerlinTrading venue closed: 260.40 EUR +4,20 +1,63% n / A. / n / A.
DusseldorfTrading venue closed: 258.70 EUR -1,60 -0,61% n / A. / n / A.
HanoverTrading venue closed: 259.80 EUR +2,90 +1,12% n / A. / n / A.
MunichTrading venue closed: 259.70 EUR +2,60 +1,01% n / A. / n / A.
GettexRealtime: 259.40 EUR +0,50 +0,19% 259,100 / 259,200
London Stock Exchange ...Trading venue closed: $ 178.57 0,00 0,00% 176,740 / 180,400
NYSETrading venue closed: $ 315.77 -0,13 -0,04% 315,950 / 316,290
QuotrixTrading venue closed: 259.00 EUR +1,80 +0,69% 258,900 / 259,400
SIX Swiss ExchangeTrading venue closed: $ 208.47 +7,52 +3,74% 205,530 / 210,150
SIX Swiss ExchangeTrading venue closed: 204.00 CHF -1,32 -0,64% 201,110 / 204,480
Baader BankRealtime: 259.20 EUR +0,80 +0,30% 259,100 / 259,300
Long & BlackRealtime: 258.60 EUR 0,00 0,00% 258,600 / 260,000
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Popular derivatives on HOME DEPOT INC

More information: The most frequently visited derivatives of our partners on this base value in the last 7 days are displayed.
  • WKN
    KE1F7P indicators
    Bid price
    2,650 EUR
    Ask rate
    2.670 EUR
    Base price
    Impl. Vola.
    Due date
    To the product
  • WKN
    MA10HZ ads
    Bid price
    EUR 5.670
    Ask rate
    EUR 5.680
    Due date
    open end
    To the product
  • WKN
    MA5KEE ads
    Bid price
    42,150 EUR
    Ask rate
    42,390 EUR
    Due date
    open end
    To the product
  • WKN
    SD4Z1G indicators
    Bid price
    0.087 EUR
    Ask rate
    0.097 EUR
    Base price
    Impl. Vola.
    Due date
    To the product
  • WKN
    KE1F7T indicators
    Bid price
    1.580 EUR
    Ask rate
    1,590 EUR
    Base price
    Impl. Vola.
    Due date
    To the product
  • WKN
    KB9BNZ ads
    Bid price
    EUR 3.170
    Ask rate
    EUR 3.190
    Base price
    Impl. Vola.
    Due date
    To the product
  • WKN
    MC9BGC ads
    Bid price
    35,390 EUR
    Ask rate
    35,530 EUR
    Due date
    open end
    To the product
You can get the base prospectus as well as the final terms and the key information sheets by clicking on . Please also note the further information on this advertisement. The issuer is entitled to terminate securities with an open-end term.


Home Depot graduated to buy
0% of the analyzes the last 6 months predict one consistent Average share price 259,20 €.
all analyzes on Home Depot
Warrants on Home Depot | put
WKN1Base priceomegamoney
other derivatives
You can get the base prospectus as well as the final terms and the key information sheets by clicking on . Please also note the further information on this advertisement.
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Discussions about Home Depot

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Fundamental and technical metrics for Home Depot

market More information:Market capitalization:
The market capitalization indicates the current market value of a company and is calculated from the total number of shares multiplied by the current price.

Free float:
The free float is the amount of shares that are not in firm hands and that are traded on the market.
Market capitalizationEUR 278,799.68 millionnumber of stocks1,075,220,000 pcs.Free float70,30%
Fundamental More information:Earnings per share:
This figure stands for earnings per share after taxes.

Dividend per share:
Proportion of the net profit per share that is distributed to the shareholders.

Dividend yield:
The dividend yield relates the dividend paid by the company to the price of the shares.

P / E ratio:
In the "price-earnings ratio", the price per share is set in relation to earnings per share.

The "price-cash-flow ratio" is the quotient of cash flow per share and the share price.

The key figure Price-Earning to Growth-Ratio (PEG) sets the P / E ratio of a financial year in relation to the expected profit growth in the coming financial year.
21 / 22e20/2119/2018/19
Earnings per share (in EUR)11,499,818,427,99
Dividend per share (in EUR)5,364,934,473,38
Dividend yield (in%)2,061,892,041,88
P / E ratio22,5826,4525,9122,44
further fundamental key figures
Technically More information:Volatility:
The volatility describes the fluctuations in a price trend. It indicates the range in which the actual price has moved in the past around a certain trend. The higher the volatility, the more risky a share is.

The momentum is a key figure for assessing the trend of the share price development. It is calculated from the current rate divided by the rate before n Days.

RSL Levy:
The relative strength (RSL) means that courses that have developed positively in the past will also develop positively in the future. A value greater than 1 means that the current performance is better than in the past.

Moving averages:
Moving averages are calculated as the arithmetic mean of a certain number of prices in the past.
Vola 30T (in%)22,63Momentum 250T1,30Eq. Average 38T266,49
Vola 250T (in%)22,52RSL (Levy) 30T0,97Eq. Average 100T240,01
Momentum 30T0,98RSL (Levy) 250T1,13Eq. Average 200T233,57
further technical key figures

Stock ratings on Home Depot

More information:TheScreener's independent stock analyzes / ratings are created twice a week (Monday and Wednesday) with the closing prices from the previous day.
You can get a detailed description by navigating with the mouse over the values, symbols and texts.
You can find more information about the key figures that make up the ratings and the method behind the ratings here.
Revised profit forecastThe up arrow symbol means that analysts have revised their earnings expectations significantly upwards over the past seven weeks. The symbol "arrow down", on the other hand, means that the estimates have been revised downwards significantly in the last seven weeks. If the revised profit forecast is between + 1% and −1%, the trend is classified as neutral ("arrow sideways").1=1Positive analyst attitude since May 21, 2021Earnings per share projections are higher today than they were seven weeks ago. This positive trend started on May 21, 2021 at a price of 315,77 used.
ratingThe "Valuation" rating indicates whether a security is trading at a relatively high or cheap price, based on its earnings potential. In order to assess the value of a share security in comparison to its current price, the evaluation rating is based on the following parameters:

- share price
- Current yield
- long-term earnings growth forecast

The rating for the company in question is created by combining these parameters. There are five ratings, ranging from severely undervalued ("arrow strongly upwards") to severely overrated ("arrow strongly downwards").
-1=0Slightly overratedBased on the growth potential and other measured values, the price currently appears to be slightly inflated.
Medium-term market trendThe "medium-term market trend" shows the current trend, which can be positive ("arrow strongly upwards") or negative ("arrow strongly downwards"). If the price is in the range of ± 1.75%, we consider the medium-term market trend as neutral ("sideways arrow").0.1=1Neutral tendency, but previously positive (since March 16, 2021)The stock is trading near its 40-day average (in a range of + 1.75% to -1.75%). The value was previously subject to a positive trend (since March 16, 2021). The confirmed technical trend turning point of -1.75% corresponds 308,01.
Rel. 4 weeks performanceThis indicator, shown as a percentage, measures the performance of a stock in relation to the corresponding national or regional index (during the last four weeks).-2,70%=0Under pressure (vs. SP500)The relative underperformance of the last four weeks compared to the SP500 is -2.70%.
P / E ratio 19,36 Expected P / E for 2023The expected price-earnings ratio (P / E) is for the year 2023.
G / PEThis is the estimated increase in future earnings (long-term growth) plus the expected dividend yield specified in%, divided by the estimated future price-earnings ratio. 0,89 + 0.54% surcharge relative to growth expectationsIs the ratio between growth plus estimated dividend and P / E ratio below 0.9, the course already includes one surcharge versus the normal price for the growth potential. Here: + 0.54% surcharge.
Dividend yield +2,33%Dividend covered by profitFor the dividend expected over the next 12 months must be expected +45,22% of profit can be used.
Long-term growthExpressed as a percentage, it is the estimated average annual rate of increase in future earnings for the company, typically for the next two to three years.+15,00%Growth today until 2023 p.a.The average annual growth rates apply to profits from today through 2023.
Market capitalization in billion USD 339,52 Great market valueWith a market capitalization of> $ 5 billion, is Home Depot a highly capitalized title.
Number of analyzes 28 Strong analyst interestIn the past seven weeks, an average of 28 analysts have given an estimate of the earnings per share for this stock.
Bear Market FactorThe “Bear Market Factor” is based on the analysis of price behavior in falling markets. The factor measures the difference between the movement of the share price and the movement of the overall market (reference index), only in times of declining markets.
The value measures in basis points the average deviation of the share price from the movement of the overall market (reference index) during a half-week. Only phases in which the markets have moved down during the last 52 weeks are taken into account. A negative value therefore indicates a previously defensive Bear Market profile for the share. The higher the factor, the greater the losses in negative market phases so far.
0Medium risk for index declinesThe stock tends to experience index declines to roughly the same extent.
Bad news factorThe "bad news factor" is based on the analysis of price drops in the share during generally rising stock markets over the past 12 months. In this purely quantitative analysis, the reasons for price drops are not relevant. If a stock goes down in absolute terms while its benchmark index rises, something company-specific is weighing on the stock price, hence the name.
The bad news factor shows the average negative deviation of the share in a bad news event compared to the reference index. The factor is measured in basis points per half-week and represents the average value of the last 52 weeks. The higher the factor, the more sensitive the share has reacted to bad news. A low factor, on the other hand, indicates that there has been little nervous reaction to negative things about the company in the past.
1Small price declines for specific problemsIn the case of company-specific problems, the stock usually shows small price drops averaging + 1.67%.
beta 88Low susceptibility vs. SP500The stock tends to react with a deflection of + 0.88% for every 1% index movement.
Correlation 365 days 0,64Strong correlation with the SP500+ 64.96% of price fluctuations are caused by index movements.
Company data

Home Depot master data

United States
retail trade
Registered share
Face value

Home Depot company profile

The Home Depot Inc. is a hardware store company that operates a number of American craft and home improvement stores under the name 'The Home Depot'. With over 2,280 self-service stores in the US and multiple offices in Canada, Puerto Rico, the Virgin