Caterpillar (CAT)
589.76
-8.13 (-1.36%)
NYSE · Last Trade: Dec 15th, 6:17 PM EST
Detailed Quote
| Previous Close | 597.89 |
|---|---|
| Open | 602.53 |
| Bid | 589.50 |
| Ask | 590.75 |
| Day's Range | 587.89 - 604.15 |
| 52 Week Range | 267.30 - 627.50 |
| Volume | 3,966,885 |
| Market Cap | - |
| PE Ratio (TTM) | - |
| EPS (TTM) | - |
| Dividend & Yield | 6.040 (1.02%) |
| 1 Month Average Volume | 2,531,676 |
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About Caterpillar (CAT)
Caterpillar is a leading manufacturer of construction and mining equipment, diesel and natural gas engines, and industrial gas turbines. The company serves a diverse range of industries, offering products designed for various applications such as construction, agriculture, mining, and energy production. With a strong emphasis on innovation and sustainability, Caterpillar develops advanced machinery and technology solutions aimed at increasing productivity and efficiency for its customers. Additionally, the company provides extensive support services, including parts and maintenance, ensuring that clients can rely on their equipment for optimal performance over time. Read More
News & Press Releases
The United States stock market is currently navigating a period of heightened uncertainty and wavering sentiment as investors eagerly await a series of crucial economic reports, most notably the November jobs report. As of mid-December 2025, this anticipation is driving significant volatility, reflecting a delicate balance between a cooling labor
Via MarketMinute · December 15, 2025
The opening of a recent trading week saw a familiar yet complex narrative unfold across Wall Street's major benchmarks, with the Dow Jones Industrial Average, S&P 500, and Nasdaq Composite exhibiting a notably mixed performance. This divergence underscores a market grappling with a confluence of economic signals, shifting investor
Via MarketMinute · December 15, 2025
The financial markets opened the week of December 15, 2025, with a palpable sense of anticipation, as major stock indices registered gains, signaling investor optimism ahead of a packed schedule of critical economic reports. This upward movement comes as traders position themselves for a deluge of data that promises to
Via MarketMinute · December 15, 2025
December 15, 2025 – The financial markets are abuzz today as Dow Futures registered significant gains, pointing towards a strong open for U.S. equities, while silver prices experienced an extraordinary rally, reaching new highs above $60 per ounce. This dual surge in both traditional market indicators and safe-haven assets signals
Via MarketMinute · December 15, 2025
As 2025 draws to a close, the financial markets are presenting a fascinating tapestry of divergent trends and critical junctures. The venerable Dow Jones Industrial Average (DJIA) has demonstrated remarkable resilience, achieving record highs, propelled by a significant sector rotation and favorable monetary policy. Concurrently, semiconductor giant Nvidia (NASDAQ: NVDA)
Via MarketMinute · December 15, 2025
The U.S. stock market is experiencing a broad-based advance in December 2025, with major indices nearing or achieving all-time highs, as investors increasingly place their bets on a resilient economy and the prospect of inflation remaining largely under control. This surge reflects a growing optimism that the Federal Reserve
Via MarketMinute · December 15, 2025
Market swings can be tough to stomach, and volatile stocks often experience exaggerated moves in both directions.
While many thrive during risk-on environments, many also struggle to maintain investor confidence when the ride gets bumpy.
Via StockStory · December 14, 2025
One sector to avoid and two investment themes to follow next year.
Via The Motley Fool · December 13, 2025
The global stock market is currently experiencing a period of heightened volatility and significant choppiness as of December 12, 2025, presenting a complex landscape for investors. This instability is largely driven by a confluence of evolving monetary policy, persistent inflationary pressures, anxieties surrounding the technological sector, and broader geopolitical uncertainties.
Via MarketMinute · December 12, 2025
As December 12, 2025, arrives, investors find themselves at a crucial juncture, where a vigilant eye on key economic indicators is more critical than ever to successfully navigate the complex interplay of central bank policies, persistent inflation, and evolving growth dynamics. With the Federal Reserve having recently executed a series
Via MarketMinute · December 12, 2025
As 2025 draws to a close, the financial markets are witnessing a profound recalibration, with a discernible shift in investor preference away from the high-flying growth stocks that have dominated for years. This "Great Rotation" is increasingly favoring value stocks, signaling a potential long-awaited comeback for companies trading at lower
Via MarketMinute · December 12, 2025
As of December 12, 2025, the financial markets are witnessing a striking divergence: the venerable Dow Jones Industrial Average (DJIA) continues its ascent, notching new all-time highs, even as the once-unassailable technology sector grapples with significant volatility and investor skepticism. This "Great Rotation" of capital from high-growth tech stocks to
Via MarketMinute · December 12, 2025
As December 2025 unfolds, the financial markets are witnessing a profound strategic realignment, colloquially termed the "Great Rotation." This significant shift sees investors increasingly pulling capital from high-flying, growth-oriented Artificial Intelligence (AI) stocks, whose valuations have soared on future promise, and reallocating it into more stable, fundamentally sound "value plays.
Via MarketMinute · December 12, 2025
As of December 2025, the financial markets are grappling with a significant shift, as the S&P 500 and Nasdaq Composite indices experience heightened volatility driven by a pronounced tech stock correction and ongoing market rebalancing efforts. This period of adjustment, while a natural part of market cycles, presents immediate
Via MarketMinute · December 12, 2025
Several stock splits may occur in 2026.
Via The Motley Fool · December 12, 2025
The financial markets are witnessing a significant "Great Divergence" as investor sentiment pivots sharply away from the high-flying technology stocks that have dominated portfolios for years. As of December 11, 2025, a palpable shift is underway, with capital flowing out of the tech sector and into more traditional, value-oriented industries.
Via MarketMinute · December 11, 2025
The financial world is abuzz with a stark warning: the possibility of a "Lost Decade" for US stocks. This grim forecast, prominently articulated by major institutions like Goldman Sachs in late 2024 and extending into December 2025, suggests that the robust, often double-digit returns enjoyed by investors in the preceding
Via MarketMinute · December 11, 2025
Washington D.C. & New York, December 11, 2025 – The financial world is abuzz following a series of aggressive interest rate cuts by the Federal Reserve, culminating in a significant reduction on December 10, 2025. This latest move, which lowered the federal funds rate to a target range of 3.50%
Via MarketMinute · December 11, 2025
New York, NY – December 11, 2025 – The financial markets concluded today with a historic flourish as both the Dow Jones Industrial Average (DJIA) and the S&P 500 index surged to new all-time record highs. The Dow closed at an astonishing 48,704.01, marking a gain of 646 points
Via MarketMinute · December 11, 2025
The U.S. stock market finds itself at a critical juncture, navigating a complex web of global economic trends and geopolitical events that are shaping investor sentiment and corporate outlooks. As of December 11, 2025, a significant monetary policy shift by the Federal Reserve, coupled with persistent geopolitical tensions, ongoing
Via MarketMinute · December 11, 2025
Washington D.C. – December 11, 2025 – The Federal Reserve delivered its third consecutive interest rate cut of the year yesterday, lowering the benchmark federal funds rate by 25 basis points to a target range of 3.50% to 3.75%. This widely anticipated move, announced on December 10, 2025, sent
Via MarketMinute · December 11, 2025
Global stock markets are currently navigating a complex economic landscape in December 2025, characterized by a significant dovish pivot from the US Federal Reserve, persistent yet moderating inflation, and a general cooling of global growth. The Fed's third consecutive interest rate cut this year has injected a degree of cautious
Via MarketMinute · December 11, 2025
New York, NY – December 11, 2025 – In a significant pronouncement that is poised to reshape market expectations for the coming year, Tom Lee, the highly regarded Head of Research at Fundstrat Global Advisors (Fundstrat), has issued a remarkably bullish forecast for the S&P 500 (SPX). Lee predicts the benchmark
Via MarketMinute · December 11, 2025
The U.S. stock market is currently experiencing a striking divergence, with the venerable Dow Jones Industrial Average demonstrating remarkable resilience and even gains, while its tech-heavy counterparts, the S&P 500 and Nasdaq Composite, navigate a period of decline. This notable split, particularly evident on December 11, 2025, signals
Via MarketMinute · December 11, 2025
Small-capitalization stocks are currently experiencing an unprecedented surge, with the benchmark Russell 2000 index shattering all-time records in early December 2025. This remarkable rally, which saw the index climb over 13% year-to-date, signifies a profound shift in investor sentiment and a significant rebalancing of capital away from the long-dominant technology
Via MarketMinute · December 11, 2025