Toyota Motor Corporation (TM) Stock

Toyota Motor Corporation Stock Details, Movements and Public Alerts

Stock Details

Toyota Motor Corporation (TM), a prominent company in the manufacturing sector within the motor vehicles & passenger car bodies industry, is based in USA and primarily trades on the NYSE.Currently, the stock is trading at $179.50. Over the past 52 weeks, it has ranged between $153.75 and $201.91. This places the current price at 88.9% of its 52-week high and 16.7% above its 52-week low. Recent trading volume was recorded at 185,899. The 14-day Relative Strength Index (RSI) stands at 57.75, suggesting neutral conditions. The stock is currently trading below its 50-day moving average of $182.24 by 1.50%. Similarly, it is above its 200-day moving average of $178.19 by 0.74%. The MACD histogram is 0.21, indicating bullish momentum (MACD Line: 1.18, Signal Line: 0.96).

52-Week High

$201.91

52-Week Low

$153.75

Volume

185,899

Fundamentals

Valuation Metrics

P/E Ratio (TTM)

7.72

Below market average

Forward P/E

10.70

Earnings expected to decline

PEG Ratio

1.54

Reasonably valued

Price to Book

1.01

EV/EBITDA

6.66

EPS (TTM)

$24.68

Price to Sales

0.01

Beta

0.25

Less volatile than market

Is TM's P/E ratio considered high or low?
Toyota Motor Corporation's current P/E ratio is 7.72, which is below the market average. This could indicate the stock is undervalued compared to its earnings, or that investors have lower growth expectations.
How does TM's Forward P/E compare to its current P/E?
Toyota Motor Corporation's current P/E is 7.72 and its Forward P/E is 10.70. The higher Forward P/E suggests analysts expect earnings might decline or grow more slowly in the coming year.
What does TM's PEG ratio tell investors?
Toyota Motor Corporation's PEG ratio is 1.54. A PEG ratio between 1.0 and 2.0 is generally considered to indicate fair value relative to expected growth.
How volatile is TM compared to the overall market?
Toyota Motor Corporation's beta value is 0.25. A beta below 1 indicates the stock is less volatile than the market. For example, if the market moves 10%, you might expect this stock to move less than 10%.

Performance & Growth

Profit Margin

9.92%

Operating Margin

8.94%

Return on Equity

13.30%

Return on Assets

3.26%

Revenue Growth (YoY)

11.70%

Earnings Growth (YoY)

-31.30%

How profitable is TM compared to its industry peers?
Toyota Motor Corporation has a profit margin of 9.92%. This is a solid profit margin in line with healthy businesses. It indicates the company retains $9.92 as profit for every $100 in revenue. Profit margins vary by industry, and MOTOR VEHICLES & PASSENGER CAR BODIES companies typically need to be evaluated against their specific sector benchmarks.
What do TM's ROE and ROA figures tell investors?
Toyota Motor Corporation has a Return on Equity (ROE) of 13.30% and a Return on Assets (ROA) of 3.26%. The ROE is moderate, showing reasonable efficiency in utilizing shareholders' capital. The ROA indicates there may be room for improvement in how efficiently assets are being used. The large gap between ROE and ROA suggests the company has significant leverage (debt), which amplifies returns but potentially increases risk.
Is TM growing faster or slower than in previous periods?
Toyota Motor Corporation's year-over-year quarterly revenue growth is 11.70%. This indicates positive revenue momentum, though at a moderate pace. Meanwhile, earnings growth is -31.30% year-over-year. Earnings are growing slower than revenue, which might indicate increasing costs or investments for future growth. The company is growing its top line while earnings are declining, which could indicate margin pressure or significant investments.
What does TM's operating margin tell us about its business model?
Toyota Motor Corporation's operating margin is 8.94%. This operating margin is on the lower side, which might reflect intense competition, high operational costs, or a business model that requires high volume to compensate for thin margins. Operating margins vary widely by industry, and in the motor vehicles & passenger car bodies sector, this margin should be evaluated relative to industry peers.

Dividend Information

Dividend Per Share

$90.00

Dividend Yield

3.63%

Ex-Dividend Date

3/31/2025

Dividend Date

12/6/2024

How does TM's dividend yield compare to other investments?
Toyota Motor Corporation's dividend yield is currently 3.63%. This yield is above the S&P 500 average (typically around 1.5-2%) and potentially competitive with some fixed-income investments, depending on current interest rates. In the motor vehicles & passenger car bodies industry, this yield should be evaluated against industry peers for a meaningful comparison.
What do the ex-dividend and dividend dates mean for TM investors?
The next ex-dividend date for Toyota Motor Corporation is 3/31/2025. This is the cut-off date for receiving the upcoming dividend. Investors who purchase shares before this date will receive the dividend, while those who buy on or after this date will not. The actual payment of this dividend will occur on 12/6/2024. The dividend amount is $90.00 per share.
How sustainable is TM's dividend?
Toyota Motor Corporation pays a dividend of $90.00 per share, with trailing twelve month earnings of $24.68 per share. This gives a dividend payout ratio of approximately 100.00%. This very high payout ratio could raise concerns about dividend sustainability if earnings decline in the future.

Company Size & Market

Market Cap

$250.86B

Shares Outstanding

1.30B

Book Value/Share

$2,753.09

Asset Type

Common Stock

What does TM's market capitalization tell investors?
Toyota Motor Corporation's market capitalization is $250.86B, which makes it a mega-cap company. Companies of this size are typically industry leaders with established global presence and significant market influence. Within the motor vehicles & passenger car bodies industry, this market cap places Toyota Motor Corporation among the largest players in the sector.
What's the significance of TM's book value per share?
Toyota Motor Corporation's book value per share is $2,753.09, while its current market price is $179.50. This gives a price-to-book (P/B) ratio of 0.07. A P/B ratio below 1 suggests the stock may be undervalued, as it trades below the accounting value of the company's assets minus liabilities. This could represent a potential value opportunity, though it may also reflect concerns about the company's future prospects. In the motor vehicles & passenger car bodies industry, this P/B ratio should be compared to industry peers for context.
How does the number of outstanding shares affect TM investors?
Toyota Motor Corporation has 1.30B outstanding shares. The number of outstanding shares directly affects metrics like earnings per share (EPS) and can be influenced by corporate actions such as stock splits, buybacks, or new share issuances. With a market cap of $250.86B, each share represents ownership of approximately $192.48 of the company's total value. When companies reduce their outstanding shares through buyback programs, this can increase EPS and potentially support higher share prices, assuming other factors remain constant. Conversely, when new shares are issued, this can dilute existing shareholders' ownership stakes.

Analyst Ratings

Analyst Target Price

$225.82

25.81% upside potential

Analyst Recommendations

Strong Buy

1

Buy

1

Hold

1

Sell

0

Strong Sell

0

How should I interpret analysts' recommendations for TM?
For Toyota Motor Corporation, analysts have provided the following recommendations: 1 Strong Buy, 1 Buy, 1 Hold,00 Analyst recommendations reflect professional opinions about a stock's potential performance, but they should be just one factor in your investment decisions. Each analyst may use different methodologies and timeframes for their assessments. Overall, analysts currently have a positive view on this stock.
What does the analyst target price mean for TM?
The consensus analyst target price for Toyota Motor Corporation is $225.82, compared to its current price of $179.50. This represents a potential upside of 25.81%. Analyst target prices typically reflect where professionals expect the stock price to be in 12 months. This consensus target is derived from individual price targets set by various analysts covering the stock, and it may be updated as market conditions change or as new information becomes available. Keep in mind that while target prices provide insight into professional expectations, they are not guarantees, and actual price performance can vary significantly from these targets.
How accurate are analyst forecasts for stocks like TM?
Analyst forecasts, while informative, have inherent limitations in their accuracy. Studies have shown that analysts' predictions can be influenced by various biases, including optimism bias (tendency to be overly positive) and herding behavior (following other analysts' opinions). In the motor vehicles & passenger car bodies industry, forecasts may be particularly challenging due to factors like changing market conditions, competitive dynamics, regulatory changes, and macroeconomic shifts.
Historically, analysts have been more accurate when forecasting:
  • Stable, mature companies with predictable earnings
  • Near-term results rather than long-term performance
  • Companies with transparent business models
Consider analyst forecasts as one tool among many in your investment research, and evaluate them alongside other metrics, industry trends, and your own assessment of the company's fundamentals and market position.

Fundamentals last updated: Jun 2, 2025, 08:23 AM

Technical Indicators

RSI (14-day)

57.75

Neutral

50-Day Moving Average

$182.24

-1.50% below MA-50

200-Day Moving Average

$178.19

0.74% above MA-200

MACD Line

1.18

MACD Signal

0.96

MACD Histogram

0.21

Bullish

What does TM's RSI value tell investors?
Toyota Motor Corporation's current Relative Strength Index (RSI) is 57.75. This indicates neutral momentum as the RSI is in the middle range. Values around 50 suggest no clear directional bias. The RSI is a momentum oscillator that measures the speed and change of price movements on a scale from 0 to 100. It's used to identify overbought or oversold conditions and potential reversals.
How should I interpret TM's moving averages?
Toyota Motor Corporation's current price of $179.50 is below its 50-day moving average ($182.24) but above its 200-day moving average ($178.19). This could suggest a short-term pullback within a longer-term uptrend. Additionally, the 50-day moving average is above the 200-day moving average, forming what traders call a 'golden cross,' which is generally considered a bullish signal. Moving averages smooth out price data to create a single flowing line, making it easier to identify the direction of the trend. The 50-day MA represents medium-term trend, while the 200-day MA reflects the long-term trend.
What is the MACD indicating about TM's momentum?
For Toyota Motor Corporation, the MACD Line is 1.18, the Signal Line is 0.96, and the MACD Histogram is 0.21. The positive MACD histogram indicates bullish momentum, with the MACD line above the signal line. This suggests buying pressure is currently stronger than selling pressure. The MACD (Moving Average Convergence Divergence) is a trend-following momentum indicator that shows the relationship between two moving averages of a security's price. The MACD line is calculated by subtracting the 26-period EMA from the 12-period EMA. The signal line is a 9-period EMA of the MACD line, and the histogram represents the difference between the MACD line and the signal line.

Indicators last updated: Jun 4, 2025, 12:38 AM

Active Alerts

No active alerts for this stock.

Be the first to set up an alert for TM and get notified when the price changes.

Stay Ahead of the Market with Toyota Motor Corporation Alerts

Set up price alerts for Toyota Motor Corporation and get notified instantly when the price hits your target. Never miss an important price movement again.