Security Type: Common Stock
Bid 211.90
Bid Size 1
Ask 211.91
Ask Size 6
Open 203.89
Day High 213.35
Day Low 203.77
Previous Close 204.19
52-Week High 213.35
52-Week Low 124.46
Price Performance (Last 52 Weeks)+0.89%
Held by ETPs
Yes (232)
Volume 13,167,807
90-Day Average Volume 9,093,158
Primary Exchange NASDAQ-NMS
Index NASDAQ 100®
S&P 500®
Options
Yes

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News & Events

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  • Show article details.

    US STOCKS-Futures gain as China fuels trade deal optimism

    Reuters – 8:03 AM ET 11/18/2019

    * Futures up: Dow 0.30%, S&P 0.19%, Nasdaq 0.27% By Arjun Panchadar. U.S. stock index futures pointed to another session of gains on Monday, as a report out of China added to optimism over a trade deal and the country's central bank indicated willingness to step in to prop up a slowing economy.

  • Show article details.

    US STOCKS-Trade deal hopes, surging health stocks power Wall St to highs

    Reuters – 11/15/2019

    * U.S., China getting close to trade deal-White House adviser. * Healthcare sector posts biggest one-day gain since Jan. * Applied Materials (AMAT) jumps on strong forecast. * S&P 500 mints sixth straight week of gains. * Indexes up: Dow 0.8%, S&P 0.77%, Nasdaq 0.73% By Lewis Krauskopf.

  • Show article details.

    US STOCKS-Trade deal hopes propel Wall St to fresh record highs

    Reuters – 11/15/2019

    * U.S., China getting close to trade deal-White House adviser. * Applied Materials jumps on strong forecast. * S&P 500 on track for six weeks of gains. * Data shows U.S. retail sales rebound. * Indexes up: Dow 0.57%, S&P 0.59%, Nasdaq 0.66% By Lewis Krauskopf.

  • Show article details.

    US STOCKS-Trade deal hopes, earnings propel Wall St to another record high

    Reuters – 11/15/2019

    * Kudlow says U.S., China getting close to trade deal. * Applied Materials (AMAT) jumps on strong forecast. * S&P 500 on track for six weeks of gains. * Data shows domestic retail sales rebound in October. * Indexes up: Dow 0.54%, S&P 0.56%, Nasdaq 0.59% By Arjun Panchadar.

  • Show article details.

    Nvidia price targets get boost as analysts see 'second phase' of AI in chip maker's recovery

    MarketWatch – 11/15/2019

    Analysts expect announcement of 7- nm data-center products as early as next week. Nvidia Corp. (NVDA) shares slipped Friday, following a big rally over the past quarter after the chip maker forecast it was returning to revenue growth, and more than half the analysts who cover the company hiked price targets. Of the 40 analysts who cover Nvidia (NVDA), 29 have buy or overweight ratings, eight have hold ratings and three have sell or underweight ratings.

Events

  • Feb
    12

    NVDA to announce Q4 earnings (Unconfirmed)

  • Nov
    27

    NVDA ex-Dividend for $0.16 on 11/27/2019

    • Announce Date: 11/14/2019
    • Record Date: 11/29/2019
    • Pay Date: 12/20/2019

More News & Events

Company Profile

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NVIDIA Corporation operates as a visual computing company worldwide. It operates in two segments, GPU and Tegra Processor. The GPU segment offers processors, which include GeForce for PC gaming and mainstream PCs; GeForce NOW for cloud-based…

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Sector (GICS®)

Information Technology

Environmental, Social & Governance Summary (ESG)

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ESG ratings enable you to leverage independent ESG research to evaluate how companies are managing ESG risks and addressing ESG opportunities. Learn more

To access the latest ESG Research, Visit the new Stock Dashboard

About Environmental, Social & Governance Summary (ESG)

MSCI ESG Ratings

Environmental, Social, and Governance (ESG) Flags: MSCI Ratings publishes Environmental, Social and Governance (ESG) ratings on over 6,000 companies worldwide. These ratings provide an independent assessment of the sustainable investment value of public companies. The ESG Ratings model is based on a carefully crafted and applied list of KeyMetrics® that result in an overall ESG concern level as expressed by Red (High Concern), Yellow (Average Concern), and Green (Low Concern) flags. Unlike traditional ESG risk models, MSCI's rating methodology is designed to identify risks most likely to affect equity valuations. Specifically, these ratings reflect actual corporate behaviors rather than policies or affirmations of intent to adhere to best ESG practices. Further, unlike other models with evenly weighted metrics, we assign context-sensitive relative weightings to our key metrics, based on market, regional, ownership or sector differences. Individual company scores are then assigned as a percentile rank, ranging from 1 (worst ranked) to 100 (best) on the basis of these KeyMetrics® and then converted to the Red, Yellow or Green flag designation.

Company Reports: In addition to a company's overall risk rating, ESG reports also include an industry rating based on a comparison between the company's risk levels in each ESG component area relative to its industry peers. Further, the ESG analysis serves as a summary of behavioral events that contributed to the company's overall risk level.

More About MSCI

Full Time Employees: 13,277

Executives  Secure. Log in required.

www.nvidia.com

2788 San Tomas Expressway
Santa Clara, CA 95051
United States of America

1-408-486-2000

Analyst Opinions

The Equity Summary Score is an accuracy-weighted sentiment derived from the ratings of independent research providers on Fidelity.com. It uses the past relative accuracy of the providers in determining the emphasis placed on any individual opinion. Learn More....

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This generated report* compiles independent, third-party information highlighting key fundamental and technical data, analyst opinions, stock price movement, earnings data, and industry comparisons. Available only to Fidelity customers.

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This generated report* has historical data on financials with interactive charts, technical indicators, and five-year peer comparison trend charts.

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NVDA Industry Comparison:

NVDAIndustry AveragePercentile
in Industry
Market Capitalization$124.96B$24.06B98th
Total Return (1 Year Annualized)
 
+0.89%+40.20%27th
Beta2.101.3391st
EPS (TTM)
 
$3.91$3.8092nd
Current Consensus EPS Estimate------
EPS Growth
(TTM vs. Prior TTM)
-47.80%+65.97%24th
P/E (TTM)
52.2224.9074th
Dividend Yield (Annualized)
0.31%2.11%6th
Total Revenue (TTM)
$10.02B$23.21B93rd
Revenue Growth
(TTM vs Prior TTM)
-19.35%-2.44%16th
Shares Outstanding612,000,0001,860,081,92089th
Institutional Ownership64.74%73.60%44th
† The Equity Summary Score provided by Thomson Reuters StarMine is current as of the date specified. There may be differences between the Equity Summary Score analyst count and the number of underlying analysts listed. Due to the timing in receiving ratings changes into the Equity Summary Score model, the Equity Summary Score analyst count may lag the ratings count displayed by one or more days. There may also be analyst count variations for symbols with multiple share classes and ADRs. More details on Equity Summary Score calculation are included in the Understanding and Using the Equity Summary Score Methodology (PDF).

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