Bank of America (BAC)

52.97
+0.38 (0.72%)
NYSE · Last Trade: Jan 19th, 1:35 PM EST
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close52.59
Open52.69
Bid52.93
Ask53.06
Day's Range52.25 - 53.38
52 Week Range33.06 - 57.55
Volume52,238,631
Market Cap-
PE Ratio (TTM)-
EPS (TTM)-
Dividend & Yield1.120 (2.11%)
1 Month Average Volume36,550,063

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About Bank of America (BAC)

Bank of America is a multinational financial services company that provides a wide range of banking and financial solutions to individuals, businesses, and institutional clients. The company offers services such as consumer banking, commercial banking, investment banking, asset management, and wealth management. With a robust network of branches and digital platforms, Bank of America aims to deliver accessible and innovative financial products, including mortgages, credit cards, and investment advisory services. The organization is committed to supporting economic growth and sustainability while serving a diverse clientele across various markets. Read More

News & Press Releases

Inflation in the Dark: Why the Delayed December CPI is Wall Street’s Most Anticipated Report
Following a historic 43-day federal government shutdown that paralyzed the nation’s data-gathering apparatus, investors are finally bracing for the most critical economic barometer of the year. The upcoming release of the December Consumer Price Index (CPI) report, which was delayed as a result of the administrative backlog at the
Via MarketMinute · January 19, 2026
The Great Defensive Pivot: Why Investors are Fleeing Banks for Big Box and Beverages in 2026
The global financial landscape as of January 19, 2026, is witnessing a dramatic reallocation of capital. Investors are rapidly rotating out of the once-favored financial services sector and into consumer defensive stocks, commonly known as consumer staples. This shift follows a period of heightened regulatory volatility and a cooling consumer
Via MarketMinute · January 19, 2026
Bond Yields Retreat: 10-Year Treasury Slips Below 4.15% as Inflation Cools and Retail Sales Hold Firm
The U.S. bond market reached a significant technical and psychological milestone this week as the yield on the benchmark 10-year Treasury note slipped below the 4.15% threshold for the first time in months. As of January 19, 2026, the yield is hovering at 4.14%, a move that
Via MarketMinute · January 19, 2026
The US Economy May Surprise In 2026 — And Small Caps Could Benefitbenzinga.com
Wall Street economists are turning bullish on the U.S. economy in 2026. Bank of America sees growth beating consensus — with potential upside for small caps.
Via Benzinga · January 19, 2026
Precious Metals Surge to Record Highs: Gold Hits $4,689, Silver Nears $100 Amid Geopolitical Crisis
CHICAGO — January 19, 2026 — In a historic session for commodities, gold and silver futures have rocketed to fresh all-time highs, marking a seismic shift in global asset allocation. As of midday trading, gold futures for February delivery surged to a staggering $4,689.39 per ounce, while silver futures broke
Via MarketMinute · January 19, 2026
Big Bank Stocks Slump as Earnings and Policy Shocks Hit Wall Street
NEW YORK — The third week of January 2026 has proven to be a sobering reality check for the U.S. financial sector. As of Monday, January 19, 2026, investors are still parsing a turbulent week that saw billions in market capitalization evaporated from the nation’s largest lenders. A volatile
Via MarketMinute · January 19, 2026
Big Banks Forecast Gold Could Hit $6,000: Is Wheaton Precious Metals a Buy?fool.com
This stock provides investors something that no precious metal can provide.
Via The Motley Fool · January 19, 2026
The Efficiency Trap: Why Rising Costs are Squeezing Margins for America’s Banking Giants
In the first weeks of 2026, the American banking sector has reached a critical inflection point. While the broader markets have flirted with record highs, the "earnings season" of January 2026 has revealed a sobering reality for both large-cap and regional lenders: the era of easy profitability driven by high
Via MarketMinute · January 19, 2026
The Great Unwind Concludes: Federal Reserve Formally Ends Quantitative Tightening to Stabilize Market Liquidity
WASHINGTON, D.C. — In a landmark transition for global financial markets, the Federal Reserve has officially concluded its years-long campaign of quantitative tightening (QT), marking the end of an era of monetary contraction that saw nearly $2.5 trillion removed from the central bank’s balance sheet. Following the official
Via MarketMinute · January 19, 2026
Cracks in the Digital Storefront: Shopify’s 5.9% Slide Signals Macro Anxiety in a Post-Holiday Market
The e-commerce landscape, long considered the resilient engine of the modern economy, faced a sharp reality check as Shopify Inc. (NYSE: SHOP) saw its shares tumble 5.9% in mid-January 2026. The decline, which wiped billions off the company’s market capitalization, serves as a stark reminder of the deep-seated
Via MarketMinute · January 19, 2026
High Stakes: December CPI Data Looms as Market Navigates Post-Shutdown Economic Fog
The financial world has been gripped by intense anticipation over the release of the December Consumer Price Index (CPI) data, a reading that many investors consider the most pivotal economic report of the mid-decade. Following a historic and paralyzing 43-day federal government shutdown in late 2025, the U.S. markets
Via MarketMinute · January 19, 2026
The Great Convergence: Market Leadership Broadens as the 'Magnificent Seven' Era Hits a Valuation Ceiling
As of January 19, 2026, the era of "narrow leadership" that defined the post-pandemic bull market has officially given way to a new regime: the "Great Convergence." For nearly three years, a handful of mega-cap technology titans—the "Magnificent Seven"—shouldered the entire weight of the U.S. economy’s
Via MarketMinute · January 19, 2026
The 10% Ceiling: Wall Street Shudders as Populist Push to Cap Credit Card Rates Gains Steam
In a move that has sent shockwaves through the American financial sector, a bipartisan coalition of lawmakers and the White House have intensified their push for a federal 10% cap on credit card interest rates. The proposal, which aims to curb "predatory" lending in an era of persistent inflation, has
Via MarketMinute · January 19, 2026
Citi’s "Productivity Dividend" Overshadowed: Stock Dips as Macro Clouds and Rate Cap Fears Loom
The final act of Citigroup’s multi-year structural overhaul met with a cold reception on Wall Street this week. Despite showing significant fundamental progress in its fourth-quarter 2025 earnings report, shares of Citigroup (NYSE: C) fell 3.3% as investors weighed a revenue miss against a backdrop of mounting macroeconomic
Via MarketMinute · January 19, 2026
Bank of America Shares Retreat as Expense Growth and Waning Revenue Outlook Overshadow Earnings Beat
Investors sent shares of Bank of America (NYSE: BAC) tumbling 3.8% this week, a sharp reaction that underscored growing anxiety over the banking giant's ability to maintain its momentum in a cooling economy. Despite reporting fourth-quarter earnings that surpassed analyst expectations on both the top and bottom lines, the
Via MarketMinute · January 19, 2026
Wells Fargo Shares Plunge 4.6% as Q4 Revenue Miss and Trading Slump Rattle Investors
In a stark reminder that regulatory relief does not guarantee immediate financial prosperity, shares of Wells Fargo & Co. (NYSE: WFC) plummeted 4.61% on Wednesday, January 14, 2026, after the lender reported fourth-quarter 2025 results that failed to meet Wall Street’s revenue expectations. The decline, which saw the stock
Via MarketMinute · January 19, 2026
Visa Inc. (V): The Global Toll-Bridge Navigating a Regulatory Storm
The global financial landscape in early 2026 finds itself at a peculiar crossroads, and at the center of this transition sits Visa Inc. (NYSE: V). Long considered the ultimate "toll-bridge" of the global economy, the company is navigating a complex environment defined by robust cross-border travel, a "K-shaped" consumer recovery, and a legislative storm brewing [...]
Via Finterra · January 19, 2026
Berkshire Hathaway Has 56% of Its Portfolio in These 4 Stocks. Are They Buys to Begin 2026?fool.com
You can't go wrong with adding blue chip stocks to your portfolio.
Via The Motley Fool · January 19, 2026
Amazon, Carvana And Others: Bank Of America Reveals 5 Stocks It Thinks Will Win This Earnings Seasonbenzinga.com
Bank of America has identified a list of stocks that are well-positioned for the upcoming earnings season. The suggested stocks include Amazon.com Inc. (NASDAQ: AMZN), Brookdale Senior Living Inc. (NYSE: BKD), Corning Inc. (NYSE: GLW), Vertiv Holdings Co (NYSE: VRT), and Carvana Co. (NYSE: CVNA).
Via Benzinga · January 19, 2026
Palantir Stock Drops 17% From Its High. Wall Street Has Best- and Worst-Case Scenarios for What Happens Next.fool.com
Most Wall Street analysts expect Palantir to reach or exceed $200 per share in 2026.
Via The Motley Fool · January 19, 2026
U.S. Bancorp (USB) Q4 Earnings: What To Expect
Financial services giant U.S. Bancorp (NYSE:USB) will be reporting earnings this Tuesday before market hours. Here’s what to expect.
Via StockStory · January 18, 2026
Better Fidelity Bond ETF: FBND vs. FIGBfool.com
Explore how key differences in size, holdings, and volatility set these two Fidelity bond ETFs apart for income-focused investors.
Via The Motley Fool · January 18, 2026
Got $1,000? 2 Top Growth Stocks to Buy That Could Double Your Money.fool.com
These companies are growing at a faster pace than the broader market and trading at attractive valuations.
Via The Motley Fool · January 17, 2026
With Financial Stocks Suddenly Tanking, Is Now the Time to Buy?fool.com
Financial stocks are temporarily down, yet there may be good times ahead for the industry.
Via The Motley Fool · January 17, 2026
The 1 Vanguard ETF That Warren Buffett's Recent Remarks Suggest He Would Buy Right Nowfool.com
There's one Vanguard bond ETF that Buffett would love.
Via The Motley Fool · January 17, 2026