F

Ford Motor Price

F
$12,88
+$0,01(+%0,07)

*Data last updated: 2026-04-21 19:19 (UTC+8)

As of 2026-04-21 19:19, Ford Motor (F) is priced at $12,88, with a total market cap of $50,43B, a P/E ratio of -6,38, and a dividend yield of %2,33. Today, the stock price fluctuated between $12,81 and $13,02. The current price is %0,54 above the day's low and %1,07 below the day's high, with a trading volume of 23,03M. Over the past 52 weeks, F has traded between $9,88 to $14,79, and the current price is -%12,91 away from the 52-week high.

F Key Stats

Yesterday's Close$12,87
Market Cap$50,43B
Volume23,03M
P/E Ratio-6,38
Dividend Yield (TTM)%2,33
Dividend Amount$0,15
Diluted EPS (TTM)2,06
Net Income (FY)-$8,18B
Revenue (FY)$187,26B
Earnings Date2026-04-29
EPS Estimate0,22
Revenue Estimate$42,66B
Shares Outstanding3,91B
Beta (1Y)1.71
Ex-Dividend Date2026-02-13
Dividend Payment Date2026-03-02

About F

Ford Motor Company develops, delivers, and services a range of Ford trucks, commercial cars and vans, sport utility vehicles, and Lincoln luxury vehicles worldwide. It operates through Ford Blue, Ford Model e, and Ford Pro; Ford Next; and Ford Credit segments. The company sells Ford and Lincoln vehicles, service parts, and accessories through distributors and dealers, as well as through dealerships to commercial fleet customers, daily rental car companies, and governments. It also engages in vehicle-related financing and leasing activities to and through automotive dealers. In addition, the company provides retail installment sale contracts for new and used vehicles; and direct financing leases for new vehicles to retail and commercial customers, such as leasing companies, government entities, daily rental companies, and fleet customers. Further, it offers wholesale loans to dealers to finance the purchase of vehicle inventory; and loans to dealers to finance working capital and enhance dealership facilities, purchase dealership real estate, and other dealer vehicle programs. The company was incorporated in 1903 and is based in Dearborn, Michigan.
SectorConsumer Cyclical
IndustryAuto - Manufacturers
CEOJames Duncan Farley Jr.
HeadquartersDearborn,MI,US
Employees (FY)169,00K
Average Revenue (1Y)$1,10M
Net Income per Employee-$48,41K

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Ford Motor (F) is currently trading at $12,88, with a 24h change of +%0,07. The 52-week trading range is $9,88–$14,79.

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Ford Motor (F) Latest News

2026-04-05 00:48

Polymarket removes prediction markets related to the U.S. military Iran rescue operation

Gate News message: On April 5, the prediction market platform Polymarket reportedly removed a betting page related to a U.S. military rescue operation. On Friday local time, an American F-15E fighter jet was shot down by Iran; one crew member has been rescued, while the other remains missing. The page previously allowed users to bet on which day the U.S. side would confirm that the two pilots had been rescued.

2026-04-03 06:15

Crypto risk rating agency CORE3 launches, and Trump family project World Liberty Financial receives a D-grade rating

Gate News reports that on April 3, CORE3, a crypto risk rating agency founded by Dyma Budorin, CEO of HAI Group—the parent company of blockchain security firm Hacken—officially launched and has rated 1,426 crypto projects and 253 exchanges. World Liberty Financial, which is under the Trump family’s umbrella, received a D rating, with a loss probability score of 68.01%, placing it among the 50 highest-risk projects on the platform. CORE3 pointed out that the main risks of the project include: lack of continuous on-chain monitoring, absence of a structured bug bounty program, and a centralized issue where insiders hold the majority of tokens. CORE3 aims to improve the security of DeFi protocols and exchanges by promoting a transparent and open scoring methodology. Budorin stated that he welcomes industry feedback and suggestions for improving the rating method.

2026-03-31 23:30

Bitcoin Records Worst Q1 Performance Since 2022 with 22.4% Decline

Gate News message, Bitcoin concluded the first quarter of 2025 with a 22.4% decline, marking its poorest first-quarter performance since 2022. Despite this quarterly downturn, BTC closed March with a 1.55% gain, breaking a streak of five consecutive months of losses. The data referenced a question from CryptoRank.io asking whether six consecutive red months for BTC were possible.

2026-03-30 10:53

In the past 7 days, a certain CEX saw net outflows of $1.184 billion in reserve assets, while another CEX’s BTC wallet balance decreased by 6.7%

Gate News reports that on March 30, according to a data dashboard, over the past 7 days in terms of BTC wallet balances, among the top 10 exchanges by balance ranking, some CEX A experienced the largest decline at 6.7%; some CEX B experienced the largest increase at 2.07%. In terms of reserve assets, the top three net outflows over the past 7 days were some CEX C (net outflow of $1.184 billion), some CEX D (net outflow of $246 million), and some CEX E (net outflow of $163 million); some CEX F had the largest net inflow, at $69.6626 million.

2026-03-25 09:25

RootData Issues Transparency Alert, 5 DEXs Including Hydration and Hyperbot Missing Core Information

Gate News reports that on March 25, Web3 asset data platform RootData posted a daily transparency alert on X (formerly Twitter), pointing out that decentralized exchanges such as Hydration, Hyperbot, SideShift.ai, Lynex, and Beets lack core information including team details, key calendar events, and token data. RootData urges the relevant project teams to submit or update their information on the platform to improve transparency scores and states that it will continue to monitor and expose "black box" projects that omit essential information. It is understood that RootData's transparency score measures the completeness and timeliness of project information, rated from high to low as A, B, C, D, and F. The lower the score, the less complete the project’s disclosures, and the higher the risk of malicious activity, requiring investors to remain highly vigilant.

Hot Posts About Ford Motor (F)

Eudora柒

Eudora柒

7 hours ago
#GatePreIPOs首发SpaceX 【Silent Intelligence Brief: Bull-Bear Duel Deduction Report】 Chief Intelligence Analyst: Eudora Qi Welcome to the Silent Intelligence Room. The long-short camp point assessment has been decoded simultaneously. You will receive: a quantitative evaluation of the current long-short strength points, a deduction of three possible outcomes based on core confrontations, and a three-tier silent action framework. Core Judgment: The market is in a fierce confrontation between structural selling pressure and trend-based capital inflows. Whether institutional “passive buying” can continue to absorb the spot market’s “active selling” is key to determining the short-term direction. 【Eight-layer Signal Reception and Power Assessment】 Bear Attack Points A Structural Attack Intelligence: The spot market CVD (Cumulative Volume Difference) has shifted from positive to negative. Assessment: Technical attack signal. Indicates that active sell orders have overwhelmed active buy orders within the market, a direct sign of increasing selling pressure and weakening short-term sentiment, with high weight. B Sector Risk Intelligence: AAVE whale “liquidated” and left, triggering capital migration and trust crisis in the DeFi lending sector. Assessment: Credit risk attack signal. The irrational withdrawal of whales from core protocols undermines sector confidence and may trigger chain liquidity risks, constituting a structural negative within the industry. C External Pressure Intelligence: Iran claims to have prepared a “new card,” geopolitical tensions may escalate. Assessment: Sentiment pressure signal. Injects new geopolitical uncertainty into the market, suppressing overall risk appetite. D Narrative Linkage Intelligence: OpenAI suddenly crashes, exposing centralized risks. Assessment: Related narrative warning signal. Not directly negative, but indirectly reminds the market of potential systemic vulnerabilities through the “centralization failure” narrative. Bull Counterattack Points E Core Support Intelligence: Morgan Stanley, BlackRock, and other institutions continue to increase BTC holdings via ETFs. Assessment: Decisive support signal. The “passive buy orders” provided by top institutions based on long-term allocation logic form the strongest current market price floor and confidence foundation, with the highest weight. F Broadening Foundation Intelligence: US crypto participation rate rises to 12%, BTC becomes mainstream allocation. Assessment: Crowd base expansion signal. Reflects the continued increase in cryptocurrency adoption and acceptance in the US, providing broader long-term support for the market. G Resilience Observation Intelligence: No progress in geopolitical ceasefire; if BTC strengthens against the trend, it signals a bullish divergence. Assessment: To-be-verified strong signal. Currently hypothetical; if it occurs, it will be a highly intrinsic bullish divergence signal indicating strong internal market strength. 【Logical Linkage and Contradiction Deduction】 In silence, it’s necessary to evaluate the confrontation between “internal troubles” and “external aid”: Core Duel: Structural selling pressure and project credit risks (A, B) VS institutional and retail trend capital inflows (E, F). Three Major Outcome Deduction: Outcome One: Bull points win, bottoming consolidation ( probability 50%) Deduction: Continuous buying by institutions and retail (E, F) can absorb the structural selling pressure (A). Price repeatedly oscillates around key support, trading time for space, digesting floating chips and forming a bottom. Key referee signals: Can BTC form higher lows above key previous lows? Does the spot ETF maintain net inflow during market decline? Is the AAVE-related turmoil (B) effectively contained locally, not spreading to the entire market? Outcome Two: Bear TKO, breakdown and decline ( probability 40%) Deduction: Structural selling pressure (A) and sector credit risk (B) continue to ferment, ultimately overwhelming institutional buy orders (E). Price volume drops below key psychological and technical support, initiating a new downtrend. Key referee signals: Does BTC volume break below $60k and other key psychological levels? Does panic sentiment spread from DeFi lending sectors (B)? Outcome Three: Bull KO counterattack, trend reversal rally ( probability 10%) Deduction: Sudden major positive news or complete clearing of panic sentiment. Institutional buy orders (E) surge, combined with large-scale short covering, forming a violent short squeeze reversal. Key referee signals: Sudden major fundamental positive; BTC shows a single-day surge exceeding 7%-10%; perpetual contract funding rates quickly turn from deep negative to positive. (If this outcome deduction based on point assessment provides a clear victory/defeat picture for your real-time decision-making, please like and confirm.) 【Three-tier Silent Action Framework】 Based on outcome deduction, execute your real-time tactics: Tactic One: Grid and DCA investors: respond to Outcome One (oscillation bottoming) Core: Abandon guessing the exact bottom; within the preset “bottom zone,” use disciplined strategies to gradually accumulate core assets. Actions: 1. Define oscillation range: clearly delineate the bottom oscillation box based on recent price fluctuations. 2. Execute strategy: set up grid trading for BTC/ETH within the range; simultaneously, initiate a fixed-amount phased buy plan near the lower boundary. 3. Risk avoidance: decisively avoid assets deeply related to protocols facing credit risks (B), such as AAVE. Tactic Two: Stop-loss and Waiters: respond to Outcome Two (breakdown and decline) Core: Respect market choice; when breakdown signals confirm, cut losses decisively to preserve strength, and patiently wait for better entry points. Actions: 1. Execute stop-loss: if holdings volume drops below key support levels, execute stop-loss immediately. 2. Hold cash and observe: switch to holding stablecoins and observing; never “catch the falling knife” on the left side. 3. Preset observation zone: set a potential support/buy zone; wait until the price reaches this zone and shows clear multi-cycle (e.g., 4-hour, daily) reversal signals before considering phased entry. Tactic Three: Right-side Breakout: respond to Outcome Three (trend reversal rally) Core: Abandon all reversal fantasies; only chase after trend reversal confirmed by overwhelming price action. Actions: 1. Confirm breakout: wait for volume surge and strong breakout above oscillation upper boundary or previous high resistance. 2. Chase leading assets: upon confirmation, only take small positions in leading assets (like BTC). 3. Strict risk control: set the breakout point as stop-loss; use trailing stop to protect subsequent profits. Universal tactical discipline: Use “spot ETF capital flow” as the core basis to judge whether the main long-side players are still present. Avoid liquidity risks related to “AAVE and related DeFi protocols.” Do not be overly optimistic based on retail participation rate (F) or other long-term positives in the short term. (This three-tier tactical manual is your on-site action guide; consider saving it for real-time execution based on outcomes.) “Spot CVD turning negative” and “Institutional continuous ETF buying” coexist, what does this reveal? A Data contradiction B Retail selling, institutional buying C Short-term speculators selling off, long-term funds accumulating, a typical “turnover” process (Please leave your answer and reasoning in the comments. This reflects a deep understanding of market participant behavior and the essence of chip exchange.) Chief Intelligence Analyst: Eudora Qi I only analyze strength and deduce outcomes. The power to choose tactics and execution always lies with you. Use your discipline to participate in the duel. If this long-short duel deduction helps you quantify your odds and path in the power game, please follow this channel. This is not just following an analyst, but joining a network of traders committed to maintaining objective assessment and tactical discipline amid complex confrontations. Click follow, and I will bring “Game Situation Update Brief” when new major signals emerge. Stay objective, stay sharp.
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