Apple (AAPL)
238.15
+1.45 (0.61%)
NASDAQ · Last Trade: Sep 17th, 2:42 AM EDT
Detailed Quote
Previous Close | 236.70 |
---|---|
Open | 237.18 |
Bid | 237.90 |
Ask | 237.91 |
Day's Range | 236.32 - 241.22 |
52 Week Range | 169.21 - 260.10 |
Volume | 63,421,131 |
Market Cap | 3.94T |
PE Ratio (TTM) | 36.14 |
EPS (TTM) | 6.6 |
Dividend & Yield | 1.040 (0.44%) |
1 Month Average Volume | 48,194,787 |
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About Apple (AAPL)
Apple is a leading technology company known for designing, manufacturing, and marketing a range of innovative consumer electronics, software, and services. Its flagship products include the iPhone, iPad, and Mac computers, which are widely recognized for their cutting-edge technology and user-friendly interfaces. In addition to hardware, Apple offers a suite of software applications, operating systems, and digital services such as the App Store, iCloud, and Apple Music. The company is also committed to sustainability and privacy, integrating these principles into its products and operations. With a focus on premium quality and seamless integration across its devices, Apple has established a loyal customer base worldwide. Read More
News & Press Releases
Gene Munster called Apple's iOS 26 and iPhone 17 refresh the most significant in over a decade, predicting stronger-than-expected sales as pre-orders outpace the iPhone 16 globally.
Via Benzinga · September 17, 2025
Parcel and cargo delivery company FedEx (NYSE:FDX)
will be reporting earnings this Thursday after the bell. Here’s what investors should know.
Via StockStory · September 16, 2025
Wall Street is overlooking a key indicator that may send Apple's sales soaring.
Via The Motley Fool · September 16, 2025
Klarna is a big player in the buy-now-pay-later space.
Via The Motley Fool · September 16, 2025
The financial landscape is bracing for a turbulent 2025, as expert consensus points towards a significant uptick in market volatility. This anticipated shift, driven by a complex interplay of global policies, stubbornly high inflation, and persistent geopolitical tensions, signals a departure from recent market dynamics, demanding a proactive and adaptable
Via MarketMinute · September 16, 2025
The financial world often relies on time-tested indicators to forecast economic shifts, and few are as closely watched as the yield curve. Historically, when short-term government bonds yield more than long-term ones—an "inversion"—it has served as a near-infallible harbinger of recession. Yet, from 2022 through 2024, the U.
Via MarketMinute · September 16, 2025
September 2025 has cemented its place in financial history, with major U.S. stock indexes shattering records and propelling the market into uncharted territory. The S&P 500 and Nasdaq Composite have both surged to unprecedented levels, fueled by a potent cocktail of anticipated Federal Reserve interest rate cuts, robust
Via MarketMinute · September 16, 2025
A fresh take on the company pushed its shares up higher on the second trading day of the week.
Via The Motley Fool · September 16, 2025
The global financial markets are currently undergoing a significant rebalancing act, with anticipated interest rate cuts by the U.S. Federal Reserve poised to usher in a period of U.S. Dollar weakness. This shift is creating a powerful undertow, strengthening currencies like the Euro and Japanese Yen and setting
Via MarketMinute · September 16, 2025
The global bond market is currently experiencing a significant shift, driven largely by the mounting expectations of interest rate cuts, particularly from the U.S. Federal Reserve. This anticipation has initiated a softening of bond yields across various maturities, heralding a potentially new and complex landscape for fixed-income investors. The
Via MarketMinute · September 16, 2025
The financial markets in 2025 have been a rollercoaster, culminating in a period of unprecedented euphoria. Both the S&P 500 and the Nasdaq Composite have surged to remarkable new all-time highs, largely driven by a pivotal shift in trade policy: the Trump administration's strategic pause in escalating tariff increases.
Via MarketMinute · September 16, 2025
In an unfolding saga of global economic strategy, major central banks are poised to embark on distinctly different monetary policy journeys, signaling a significant divergence that could reshape financial markets worldwide. While the U.S. Federal Reserve (Fed) stands on the brink of initiating a series of interest rate cuts,
Via MarketMinute · September 16, 2025
The U.S. economy finds itself in a precarious state as September 2025 approaches, characterized by a visible slowdown in growth, a deteriorating job market, and stubbornly persistent inflation. This delicate balance has prompted the Federal Reserve to signal an imminent interest rate cut, a move widely anticipated by financial
Via MarketMinute · September 16, 2025
Via Benzinga · September 16, 2025
Via Benzinga · September 16, 2025
Shares of apple device management company Jamf (NASDAQ:JAMF) jumped 7.1% in the afternoon session after an analyst reiterated a positive rating on the stock amid reports the company is exploring a sale.
Via StockStory · September 16, 2025
Shares of reinsurance provider RenaissanceRe (NYSE:RNR) fell 3.4% in the afternoon session after Wolfe Research initiated coverage on the stock with a 'Peer Perform' rating amid broader sector weakness.
Via StockStory · September 16, 2025
Shares of mortgage servicing company Mr. Cooper Group (NASDAQ:COOP) fell 1.9% in the afternoon session after investors took profits as the stock hit a new 52-week high.
Via StockStory · September 16, 2025
Shares of language-learning app Duolingo (NASDAQ:DUOL)
fell 1.8% in the afternoon session after the company announced major product updates at its annual Duocon 2025 event, including a new integration with LinkedIn.
Via StockStory · September 16, 2025
The global financial landscape is currently at a critical juncture, characterized by significant divergence in monetary policies among the world's leading central banks. As major economic powers grapple with unique domestic challenges—ranging from persistent inflation and labor market shifts to stimulating growth—their independent interest rate decisions are creating
Via MarketMinute · September 16, 2025
Central banks worldwide, spearheaded by the U.S. Federal Reserve, are signaling a significant pivot towards monetary easing in 2025. This anticipated shift, driven by a weakening labor market and cooling inflation, is poised to reshape financial markets and investor strategies. With lower borrowing costs on the horizon, a "risk-on"
Via MarketMinute · September 16, 2025
The financial markets are bracing for a period of heightened volatility following the Federal Reserve's recent announcement of an interest rate cut. While often viewed as a positive catalyst, the highly anticipated move has sparked concerns about potential "sell the news" scenarios, where investors who bought into the market in
Via MarketMinute · September 16, 2025
The global economic landscape for 2025 is shaping up to be a period of continued, albeit moderating, inflationary pressures, defying earlier hopes for a swift return to pre-pandemic price stability. While central banks and international organizations project a gradual decline in headline inflation rates, underlying forces such as robust wage
Via MarketMinute · September 16, 2025
The tech world is abuzz following the U.S. Department of Justice's (DOJ) landmark antitrust lawsuit against Apple (NASDAQ: AAPL), alleging that the Cupertino giant has illegally maintained a monopoly in the smartphone market. This sweeping legal challenge, joined by 16 state attorneys general, directly targets the foundational pillars of
Via MarketMinute · September 16, 2025
Investors withdrawing from stock market, but not technology. Tech-themed ETFs had $3.42B inflow, led by XLK, QQQ & SMH. Valuations high, prepare for volatility.
Via Benzinga · September 16, 2025