>
COMMANDS Global: GP Symbol: IBM FA
↑↓ Navigate Enter Open Esc Close ` Toggle

Summary

364.15 -1.30 (-0.36%) 08/14/2026
Visa Inc. (V)
1D
-0.36%
1W
0.78%
1M
2.47%
3M
13.12%
6M
14.42%
1Y
6.24%
5Y
60.70%
Close
364.15
Change
-1.30
Change %
-0.36%
Open
365.89
Day Range
362.76 – 366.80
Volume
8,096,631
Avg Vol (20d)
6,615,027
Rel Vol
1.22x
52W Range
292.74 - 373.28
vs 52W High
-2.45%
vs 52W Low
24.39%
Gap
0.44
Market Cap
USD 649.28B
Beta
0.82
Dividend Yield
0.63%
Last 730 data points are shown. To view all data, Upgrade to PRO plan!
Bull vs Bear
8 bullish · 2 bearish points
Bullish view
  • Revenue grew 14.4% year on year in the Jun 2026 quarter to $11.63B.
  • Consensus looks for 14.5% revenue growth in 2026 to $45.82B.
  • Holds 10.4% above its 200-day average.
  • Has recovered 23.7% off the 52-week low of $294.36.
  • Outperformed the S&P 500 by 9.1% over the last quarter (+13.1% against +4.0%).
  • Beat consensus EPS in 8 of the last 8 quarters.
  • Revenue in the same quarter came in $232.22M ahead of consensus.
  • 20 of 21 covering analysts rate the shares a buy.
Bearish view
  • Operating margin compressed to 59.1% in the Jun 2026 quarter from 60.7% a year earlier.
  • Gross margin slipped to 76.5% from 80.6% a year ago.
Both sides are generated from reported financials, consensus estimates, analyst targets and the price series — not from opinion.
Notable Price Movement
Historical returns
Aug 14
2026
$364.15 0.36%Latest
Visa fell 0.36% to $364.15. The move erased $2.17B of market value.
Aug 4
2026
$368.90 1.07%52W High
Visa rose 1.07% to $368.90. The move was broadly in line with its sector — the S&P 500 gained 1.80% while Financial Services peers (XLF) rose 0.87% the same session — so little of it was company-specific. Shares opened with a 1.07% gap down and reversed through the session, closed near the session high (86% of the day's range) and set a 52-week closing high. The move added $6.52B of market value.
Jul 30
2026
$365.59 0.67%Earnings
Visa fell 0.67% to $365.59. Shares opened with a 1.01% gap down and closed near the session high (88% of the day's range). It came 2 sessions after the Q2 2026 print. The move erased $4.10B of market value.
Jul 29
2026
$368.05 0.58%Earnings52W High
Visa rose 0.58% to $368.05, on 1.4× average volume. Shares opened with a 2.61% gap down and reversed through the session, set a 52-week closing high and marked a 4th consecutive advance. This was the first session after Q2 2026 results: EPS of $3.32 vs $3.23 expected (a beat) and revenue of $11.63B vs $11.40B (a beat). The move added $3.57B of market value.
Jul 28
2026
$365.91 1.12%Pre-Earnings52W High
Visa rose 1.12% to $365.91, on 1.4× average volume. The move was broadly in line with its sector — the S&P 500 gained 0.24% while Financial Services peers (XLF) rose 1.27% the same session — so little of it was company-specific. Shares set a 52-week closing high and marked a 3rd consecutive advance. The session traded into Q2 2026 results, released after the close that evening. The move added $6.75B of market value.
Jul 16
2026
$364.46 2.82%52W High
Visa rose 2.82% to $364.46, a 1.7σ move against its 60-day volatility. This was largely stock-specific: the S&P 500 fell 0.54% while Financial Services peers (XLF) rose 0.34% that session, leaving about 2.5 points of the move unexplained by its sector. Shares opened with a 0.82% gap up, closed near the session high (100% of the day's range) and set a 52-week closing high. The move added $16.64B of market value.
Computed from adjusted closes over the last 22 sessions; attribution vs SPY and XLF.
Price Performance
All periods
PeriodPeriod LowPeriod HighPerformance
1-Month347.86 +4.68%
on 07/23/26
Open 364.46
373.28 -2.45%
on 07/29/26
-0.31 (-0.09%)
since 07/16/26
3-Month308.43 +18.07%
on 06/03/26
Open 321.92
373.28 -2.45%
on 07/29/26
+42.23 (+13.12%)
since 05/14/26
6-Month292.74 +24.39%
on 04/01/26
Open 322.91
373.28 -2.45%
on 07/29/26
+41.24 (+12.77%)
since 02/12/26
YTD292.74 +24.39%
on 04/01/26
Open 344.41
373.28 -2.45%
on 07/29/26
+19.74 (+5.73%)
since 01/02/26
52-Week292.74 +24.39%
on 04/01/26
Open 339.83
373.28 -2.45%
on 07/29/26
+24.32 (+7.16%)
since 08/13/25
5-Year169.30 +115.10%
on 10/13/22
Open 232.11
373.28 -2.45%
on 07/29/26
+132.04 (+56.89%)
since 08/06/21
5-Day
2×
-0.36% from peak
1-Month
6×
-1.52% from peak
3-Month
12×
-1.52% from peak
6-Month
14×
-1.52% from peak
YTD
8×
-1.52% from peak
52-Week
14×
-1.52% from peak
2-Year
51×
-1.52% from peak
3-Year
75×
-1.52% from peak
5-Year
81×
-1.52% from peak
10-Year
272×
-1.52% from peak
Financial SnapshotFY 2025
Full financials
Revenue
USD 40.00B
+11.3% YoY
Net Income
USD 20.06B
+1.6% YoY
EPS
10.22
+4.9% YoY
Gross Margin
80.4%
Operating Margin
60.0%
Net Margin
50.1%
EBITDA
USD 26.00B
Free Cash Flow
USD 21.58B
53.9% margin
ROE
52.9%
ROA
20.1%
Debt / Equity
0.66x
net debt USD 5.02B
Cash & Equiv.
USD 20.15B
08/15 15:47 ET · fool.com
3 of Bill Ackman's New Stock Picks Are Interesting: S&P Global Trades 28% Below Its High While Visa and Mastercard Sit Near Theirs
Pershing Square disclosed stakes of about $1.1 billion each in Visa, Mastercard, and S&P Global in its second-quarter 13F filing. S&P Global's Ratings and Indices divisions both delivered record second-quarter results.
08/15 13:00 ET · 247wallst.com
Mastercard vs. Visa: One Fintech Giant Has the Stronger Growth Story
Visa (NYSE:V | V Price Prediction) and Mastercard (NYSE:MA) both closed their latest quarters on July 28 and July 30, and the reports told two variations of the same story.
08/15 07:01 ET · fool.com
IYF vs. FNCL: Which Financials ETF Is the Better Buy?
IYF has delivered stronger 5-year returns despite higher fees, while FNCL offers broader diversification.
08/14 07:15 ET · 247wallst.com
Bill Ackman Just Bought Mastercard. Here’s What an Investment 5 Years Ago Would Be Worth Today
Bill Ackman just made his boldest portfolio move in years, adding Mastercard to his biggest funds at a moment when the stock is quietly losing ground to the broader market. Whether that gap makes it a bargain or a warning sign depends on what you believe about the future of payments.
08/14 02:59 ET · fool.com
Bill Ackman Just Disclosed 6 New Positions, and 4 of Them Are Financial Stocks. Here's What He's Betting On.
The famous long-term investor and his team made notable changes to Pershing Square's equity portfolio.
08/13 14:27 ET · gurufocus.com
Why Netflix Stock Popped Today
Bill Ackman (Trades, Portfolio)'s Pershing Square Capital Management has built a new position in Netflix (NFLX), returning to the streaming company after a cost
08/13 14:10 ET · gurufocus.com
Bill Ackman Buys Back Into Netflix Four Years After Selling at a Loss
Bill Ackman (Trades, Portfolio) disclosed six new holdings, buying Netflix (NFLX), Visa (V), Mastercard (MA), eye care company Alcon (ALC), exchange operator In
08/13 13:46 ET · benzinga.com
Bill Ackman Vs. Buffett Successor: Mastercard, Visa Stock Battle Lines Drawn — Who Wins?
Bill Ackman has announced six new stock picks added to the Pershing Square USA (NYSE:PSUS) investment portfolio, which is now publicly traded as ticker PSUS. While the recent addition of Netflix Inc (NASDAQ:NFLX) stock is getting the headlines, two other stocks are Warren Buffett favorites and now...

Market News ×
Loading news…