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Coca-Cola Company (The) 標誌

Coca-Cola Company

持有
KONYSE英語2026-09-02
註冊領取積分並分析

截至分析日期 2026-09-02,Coca-Cola Company (The)(KO,交易所 NYSE)的已發布投資組合經理評級為 持有。本頁是 TradingAgents Report 對該日期的研究參考,不構成投資建議或券商指令。

來自投資組合經理的五檔最終評級,不是交易員的中間動作。

Hold current position with tighter $85.00 stop-loss and wait for $92.00+ breakout with momentum confirmation before reassessing exposure.

置信度 · 中等參考日期 · 2026-09-01觀察周期 · 3-6 months
參考價格

88 USD

止損或減持位

85 USD

目標價格

92 USD

價位階梯

左低右高。百分比為相對參考價。

85.00 USD92.00 USD
目標價格92.00 USD+4.5%
參考價格88.00 USD基準
止損或減持位85.00 USD-3.4%

倉位指引

Maintain existing position size; no new capital allocation until either $85.00 support holds decisively with bullish reversal confirmation or India regulatory risk materially de-escalates.

看多情景

Exceptional free cash flow ($5.10B, 13.4% yield), pricing power evidenced by 35.3% operating margin resilience amid inflation, global scale, and strong non-carbonated growth (40% of volume growth) justify continued ownership.

看空情景

Confirmed MACD death cross with negative histogram (-0.385), deteriorating short-term momentum (RSI down from 73.08), India labeling probe implicating KO directly—not just peers—and unprecedented insider selling ($114M+ in August 2026) present material near-term risks.

關鍵風險

A break below $85.00 would confirm structural momentum failure and trigger rapid downside acceleration, given algorithmic stop-loss cascades and the absence of stronger support until $82.00.

結論失效條件

The thesis is invalid if KO closes daily below $85.00, as this would confirm breakdown of the multi-test support zone and invalidate the constructive technical-fundamental balance.

重點觀察

  • /Sustained daily close above $92.00 with rising RSI and positive MACD histogram
  • /Official resolution or escalation of India labeling probe
  • /Q3 earnings guidance on North American volume trends and India regulatory exposure

分析師信號

市場分析
看跌

The MACD death cross, negative histogram, and declining RSI indicate deteriorating short-term momentum despite a positive long-term trend.

情緒分析
中性

News shows regulatory and competitive risks in India, while retail sentiment on StockTwits remains cautiously optimistic despite low engagement.

新聞分析
看跌

Significant insider selling by top executives, combined with regulatory scrutiny in India and elevated inflation, suggests near-term risks outweigh defensive advantages.

基本面分析
看漲

Coca-Cola Company generated strong and sustainable free cash flow of $5.10 billion in 2026-Q2, supported by high operating margins, robust revenue growth, and efficient capital allocation, reinforcing its ability to maintain dividends and fund strategic investments.

信號衝突: The debate was genuinely balanced: fundamentals and long-term technicals (1W/1M Strong Buy) support Hold, while short-term technicals (MACD death cross, negative histogram) and specific regulatory/insider risks argue for caution—so the medium-conviction Hold reflects neutral adjudication, not indecision.

關於本報告

關於這份 KO 研究報告的常見問題

Coca-Cola Company (The)(KO)在 2026-09-02 的投資組合經理評級是什麼?

截至 2026-09-02,TradingAgents Report 對 Coca-Cola Company (The)(KO,交易所 NYSE)發布的投資組合經理評級為 持有。決策簡報標題:Hold current position with tighter $85.00 stop-loss and wait for $92.00+ breakout with momentum confirmation before reassessing exposure.。該評級是該分析日期的最終研究判斷,不是買賣指令。

這份 KO 報告是投資建議或交易信號嗎?

不是。TradingAgents Report 頁面是多智能體流程生成的研究參考,不提供個性化投資建議,不接入券商,也不執行交易。

這份 KO 報告為什麼標註 NYSE?

NYSE 標識本份 KO 研究所用的上市場所。請把分析綁定到該上市身份與 2026-09-02 分析日期;換用其他交易所或代碼格式前,先核對標的身份。

KO 頁面上的信號衝突說明意味著什麼?

信號衝突說明指出本頁研究模塊之間存在分歧。請結合對應章節閱讀,並把投資組合經理評級視為該日期的最終綜合判斷。

延伸閱讀: 研究方法市場數據和日期邊界說明

閱讀評級、分析日期與證據前,可先參考這些指南,再使用本報告。

該標的暫無其他公開報告。