The Coca-Cola Co K vs Invesco S&P 500 Low Volatility ETF — how do they compare? The Coca-Cola Co K trades at $86.31 (market cap $372.08B), while Invesco S&P 500 Low Volatility ETF trades at $75.65. The key difference: The Coca-Cola Co K pays a 2.45% dividend while Invesco S&P 500 Low Volatility ETF pays none, and The Coca-Cola Co K is trading nearer its 52-week high, Invesco S&P 500 Low Volatility ETF nearer its low. Which is the better fit depends on your goals.
| KO | SPLV | |
|---|---|---|
Market Cap | $372.08B | — |
Volume | 14,630,257 | — |
Sector | Consumer Staples | — |
52-Week High | $89.08 | $77.97 |
52-Week Low | $65.67 | $70.30 |
Enterprise Value | $399.26B | — |
Dividend Yield | 2.45% | — |
Signals from Pluang's Aura AI — not financial advice
Coca-Cola (KO) trades at $86.87, down 0.21% today, with a bullish technical signal supported by moving averages and RSI near 69. The company reported strong earnings beats in recent quarters, with Q2 2026 EPS of $0.97 exceeding expectations, and maintains robust profitability with a 28.56% net margin. Recent news highlights institutional buying and stable demand trends ahead of Q3 earnings.
KO offers a solid dividend history with 64 consecutive years of increases, but faces risks from regional demand divergence and high debt. Analysts are bullish with a $95.83 price target, implying 10% upside, though valuation multiples like P/E of 25.97 suggest premium pricing relative to peers.
No Aura AI signal available yet.
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Latest headlines on both assets
The Coca-Cola Company manufactures, markets, and distributes soft drink concentrates and syrups. The Company also distributes and markets juice and juice-drink products. Coca-Cola distributes its products to retailers and wholesalers in the United States and internationally.
Read more on KO →The fund generally will invest at least 90% of its total assets in the securities that comprise the underlying index. Strictly in accordance with its guidelines and mandated procedures, S&P Dow Jones Indices LLC (the "index Provider") compiles, maintains and calculates the underlying index, which is designed to measure the performance of the 100 least volatile constituents of the S&P 500 ® Index over the past 12 months as determined by the index Provider.
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