O

    Oracle Corporation (ORCL)

    Official site

    TECHNOLOGY • SOFTWARE - INFRASTRUCTURE • NYSE

    $149.09
    -1.76 (-1.17%)

    Market Cap: $434.52B

    Last updated: Sep 01, 2026 at 10:00 AM ET

    Earnings

    Performance (10Y)

    Beat Rate
    85%(33/39)
    Avg Surprise
    +5.39%
    Streak
    3 Q

    Upcoming Estimates

    Aug 31, 2026
    EPS Consensus$1.74
    Range$1.64 - $1.81
    33 analysts
    EPS Revisions
    1
    0
    7d
    19
    6
    30d
    EPS Estimate Drift
    90d ago$1.68-3.6%
    60d ago$1.73-0.4%
    30d ago$1.74-0.1%
    7d ago$1.74-0.1%
    Current$1.74
    Revenue Consensus
    $19.1B
    Range$18.6B - $19.3B
    31 analysts
    Nov 30, 2026
    EPS Consensus$1.89
    Range$1.77 - $2.02
    32 analysts
    EPS Revisions
    1
    0
    7d
    20
    5
    30d
    EPS Estimate Drift
    90d ago$1.83-3.2%
    60d ago$1.88-0.5%
    30d ago$1.89-0.2%
    7d ago$1.89-0.1%
    Current$1.89
    Revenue Consensus
    $21.2B
    Range$20.6B - $21.6B
    30 analysts
    PeriodReportedEst.SurpriseB/MYoY
    Nov 26EST
    -$1.89---
    Aug 26EST
    -$1.74---
    May 26
    $1.79$1.58+13.29%Beat+5.3%
    Feb 26
    $1.79$1.69+5.92%Beat+21.8%
    Nov 25
    $2.26$1.64+37.80%Beat+53.7%
    Aug 25
    $1.47$1.48-0.68%Miss+5.8%
    May 25
    $1.70$1.64+3.66%Beat+4.3%
    Feb 25
    $1.47$1.49-1.34%Miss+4.3%
    Nov 24
    $1.47$1.48-0.68%Miss+9.7%
    Aug 24
    $1.39$1.33+4.51%Beat+16.8%
    May 24
    $1.63$1.65-1.21%Miss-2.4%
    Feb 24
    $1.41$1.38+2.17%Beat+15.6%
    Nov 23
    $1.34$1.33+0.75%Beat+10.7%
    Aug 23
    $1.19$1.15+3.48%Beat+15.5%
    May 23
    $1.67$1.58+5.70%Beat+8.4%
    Feb 23
    $1.22$1.20+1.67%Beat+8.0%
    Nov 22
    $1.21$1.17+3.42%Beat+0.0%
    Aug 22
    $1.03$1.08-4.63%Miss+0.0%
    May 22
    $1.54$1.38+11.59%Beat+0.0%
    Feb 22
    $1.13$1.18-4.24%Miss-2.6%
    Nov 21
    $1.21$1.11+9.01%Beat+14.2%
    Aug 21
    $1.03$0.97+6.19%Beat+10.8%
    May 21
    $1.54$1.33+15.79%Beat+28.3%
    Feb 21
    $1.16$1.11+4.50%Beat+19.6%
    Nov 20
    $1.06$1.00+6.00%Beat+17.8%
    Aug 20
    $0.93$0.86+8.14%Beat+14.8%
    May 20
    $1.20$1.15+4.35%Beat+3.4%
    Feb 20
    $0.97$0.96+1.04%Beat+11.5%
    Nov 19
    $0.90$0.89+1.12%Beat+12.5%
    Aug 19
    $0.81$0.81+0.00%Beat+14.1%
    May 19
    $1.16$1.07+8.41%Beat+17.2%
    Feb 19
    $0.87$0.84+3.57%Beat+4.8%
    Nov 18
    $0.80$0.78+2.56%Beat+14.3%
    Aug 18
    $0.71$0.68+4.41%Beat+14.5%
    May 18
    $0.99$0.94+5.32%Beat+11.2%
    Feb 18
    $0.83$0.72+15.28%Beat+20.3%
    Nov 17
    $0.70$0.68+2.94%Beat+14.8%
    Aug 17
    $0.62$0.60+3.33%Beat-
    May 17
    $0.89$0.78+14.10%Beat-
    Feb 17
    $0.69$0.62+11.29%Beat-
    Nov 16
    $0.61$0.60+1.67%Beat-

    Dividends

    Dividend Metrics

    Yield1.55%
    Annual/Share$2.31
    Payout Ratio47.98%
    Frequency4
    Pay MonthsJan, Apr, Jul, Oct

    Growth

    3Y CAGR+14.07%
    5Y CAGR+14.63%
    View ORCL's full dividend history

    Key Metrics

    Valuation
    P/E Ratio20.40EV/EBITDA16.95x
    Price/FCF-18.35xFCF Yield-5.45%
    Profitability
    Profit Margin25.40%Operating Margin36.20%
    ROE53.40%ROIC12.27%
    Financial Health
    Debt/Equity3.05xInterest Coverage5.25x
    Current Ratio1.12xQuick Ratio1.12x
    Trading Statistics
    Beta1.72Avg Volume24.66M
    52-Week High$341.8252-Week Low$114.50

    Technical Indicators Dashboard

    Moving Averages

    SMA 10$146.31
    SMA 20$147.35
    SMA 50$140.71
    SMA 200$169.47
    EMA 10$147.70
    EMA 20$145.57
    EMA 50$148.44
    EMA 200$170.20

    MACD

    Line: 1.99Signal: 1.31Hist: 0.67

    ADX

    ADX: 15.4+DI: 24.1-DI: 21.0

    Aroon & PSAR

    Aroon Up52.0
    Aroon Down4.0
    PSAR$137.76

    Bollinger Bands

    Upper Band$155.29
    Lower Band$139.41
    %B Position1078%(Upper)
    Band Width0.61

    RSI (14-Day)

    Neutral
    54.1

    Momentum Oscillators

    Stoch %K60.5
    Stoch %D57.1
    Williams %R-46.6
    ROC (10d)1.7%
    Momentum2.44
    CCI (20d)42.4
    MFI (14d)61.5

    Volatility Measures

    ATR (14d)$6.30(4.2%)
    StdDev (20d)3.97
    Hist Vol41.5%(High)

    Volume Flow

    VWAP$149.37
    OBV-502.8M
    AD Line-2.1B
    CMF (20d)0.059

    Volume Metrics

    Avg Vol (20d)23.4M
    Vol Ratio0.7x
    VWMA (20d)$147.81

    Pivot Points

    R3$157.60
    R2$155.80
    R1$153.32
    Pivot Point$151.52
    S1$149.04
    S2$147.24
    S3$144.76

    Advanced Oscillators

    TSI7.17
    Ultimate Osc51.8
    KST101.74

    Financial Data

    QuarterMay 2026Feb 2026Nov 2025Aug 2025May 2025Feb 2025Nov 2024Aug 2024May 2024Feb 2024Nov 2023Aug 2023
    Total Revenue$19.18B$17.19B$16.06B$14.93B$15.90B$14.13B$14.06B$13.31B$14.29B$13.28B$12.94B$12.45B
    Cost of Revenue$6.67B$6.09B$5.37B$4.88B$4.74B$4.20B$4.08B$3.91B$3.92B$3.87B$3.74B$3.61B
    Gross Profit$12.51B$11.10B$10.68B$10.04B$11.16B$9.94B$9.97B$9.40B$10.36B$9.41B$9.20B$8.84B
    Operating Expenses$6.38B$5.63B$5.95B$5.76B$6.05B$5.58B$5.75B$5.41B$5.68B$5.66B$5.58B$5.55B
    R&D$2.61B$2.61B$2.56B$2.49B$2.65B$2.43B$2.47B$2.31B$2.23B$2.25B$2.23B$2.22B
    SG&A$444.00M$389.00M$409.00M$376.00M$467.00M$390.00M$387.00M$358.00M$403.00M$377.00M$375.00M$393.00M
    Operating Income$6.13B$5.46B$4.73B$4.28B$5.11B$4.36B$4.22B$3.99B$4.68B$3.75B$3.62B$3.30B
    Interest Income$0$0$0$0$0$0$0$0$0$0$0$0
    Interest Expense$1.44B$1.18B$1.06B$923.00M$978.00M$892.00M$866.00M$842.00M$878.00M$876.00M$888.00M$872.00M
    Income Before Tax$5.37B$4.42B$6.34B$3.43B$4.15B$3.45B$3.39B$3.17B$3.78B$2.87B$2.72B$2.38B
    Income Tax Expense$1.06B$695.00M$207.00M$500.00M$726.00M$512.00M$239.00M$240.00M$638.00M$464.00M$217.00M$-45,000,000
    Net Income$4.30B$3.72B$6.13B$2.93B$3.43B$2.94B$3.15B$2.93B$3.14B$2.40B$2.50B$2.42B
    EBITDA$9.65B$8.16B$9.51B$6.12B$6.83B$5.89B$5.75B$5.44B$6.21B$5.30B$5.16B$4.72B
    EBIT$6.81B$5.60B$7.40B$4.35B$5.13B$4.34B$4.26B$4.01B$4.66B$3.74B$3.61B$3.25B
    * Some calculated fields are derived from available data when not provided by source

    Related GNG Research

    When Wall Street Indicts a Cash Flow Machine: Reading CRM Before the May 27 Earnings

    Market punished CRM - 41% off 52-week high, ~24% below 200-day - yet trailing 12-month free cash flow was $14.4B on $41.5B revenue, FCF margin 34.7% and cash conversion ~96% Execution metrics support resilience - 3-yr FCF CAGR 31.6%, 5-yr revenue CAGR 14.3%, 3-yr EPS CAGR 26%, last 8 quarters 88% beat rate, avg surprise 7.6% Shareholder-friendly capital allocation - dividend raised to $0.44, $25B buyback authorized, net debt $7.1B vs $14.4B FCF, net leverage <0.6x EBITDA, interest coverage 45x Company is buying into AI not ceding ground - $300M Anthropic spend planned, agent platform ARR $800M (+169% YoY), 2.4B agent work units last quarter (+57% seq), $8B data integration deal closed

    Unknown Author
    5/18/26
    268
    Enterprise Software
    Also mentions:
    ADBE
    NOW
    ORCL

    Why We Bought 30% More MercardoLibre & Own The Future Update

    Mercado Libre just reported 49% sales growth and a big investment push and the market punished it with a 12% selloff. ZEUS bought 30% more MELI. Operating cash flow per share growth of 101% confirms management's claims that they are choosing to keep margins low to become the dominant retailer/financial company in Latin America. 36% EPS growth consensus and 40% CAGR operating cash flow growth means that MELI is around 60% undervalued (65% based on PEGY). Fattest Pitch I know. 65% CAGR return potential through 2029 and 101% return potential justified by fundamentals by end of 2026. AI spending? The estimates for hyperscalers are up another $1.1 trillion this quarter, that's $2.6 trillion increase (5 year) over 3 quarters up to $5.7 trillion over next 5 years. Total growth spending is $8.5 trillion over the next 5 years which is equal to the growth spending of the US, EU and China...combined (on average) each year. By 5 hyperscalers. FCF/share growth is now expected to be 18% for the S&P and 20% for the Nasdaq, 3X and 2X historical norms. S&P is 20% undervalued on PEGY and Nasdaq 25%. The backlog for cloud computing at hyperscalers is $2.1 trillion and growing at 143% (up from 95% last quarter). Profits can grow to the sky as long as demand grows faster than supply😉

    Unknown Author
    5/8/26
    671
    Also mentions:
    MSFT
    AMZN
    GOOGL
    ORCL
    META

    2026 Stock Market Outlook: The Great Rotation and AI Monetization Era

    Wall Street targets S&P 500 at 7,500-7,600 for 2026 (+9-11%), but Shiller CAPE at 39-40x matches dot-com peak levels. Historical data shows -4% average returns when CAPE exceeds 39. Earnings must deliver, not multiples. The "Great Rotation" is real: Mag 7 earnings growth advantage shrinks from 30%+ to just 4 points by late 2026. UBS projects mid-caps could surge 35% as rate normalization unlocks borrowing-sensitive companies. 2026 is the "Year of Agentic AI" per JPMorgan. Investment thesis pivots from infrastructure spend ($527B-$700B capex) to monetization proof. 95% of enterprises seeing zero AI ROI creates a "prove it" moment. Data center power demand hits 75.8 GW in 2026, nearly triples to 134 GW by 2030. Nuclear renaissance accelerating: Microsoft-Constellation TMI deal (835 MW), Amazon-Talen ($18B PPA) signal hyperscaler urgency. Healthcare trades at 15% P/E discount to market after 4% gains vs S&P's 52% since 2023. Eli Lilly's oral GLP-1 FDA decision (March 2026) is the catalyst. Sector historically returns 17% in midterm years. Financials hold $200B excess capital as Basel III Endgame goes "capital neutral." Deregulation plus M&A deal value tracking toward $2T in 2026 creates runway for JPM, regional banks, and asset managers. Fed cuts 1-2x in 2026 to 3.0-3.5% range. Powell's term expires May 2026. The narrow path: earnings growth of 12-14% must offset 22x forward P/E or markets face 10-20% correction risk on disappointment.

    Unknown Author
    12/31/25
    388
    2025 Market Outlook
    Power Infrastructure
    financial services
    Healthcare Stocks
    Also mentions:
    CEG
    LLY
    JPM
    NEE
    ORCL

    Tech Heavyweights Are Dragging Indices Lower, But Breadth Tells a Different Story

    S&P 500 has retraced 50% of the Nov 20th rally. Key support at 6,670 (61.8% Fib). Above that level, dip-buyers have solid risk/reward. Below it, the thesis breaks. Expect bottoming within 3-5 trading sessions. Breadth is improving, not collapsing. Stocks above 200-day MA rose from high 40s to 58%. Defensive sectors underperforming, not leading. The broader market is healthier than mega-cap weakness suggests. Small and mid-caps are breaking out while big tech struggles. IWM, MDY, RSP, and IYT all showing strength since Nov 20th. Favor small/mid exposure until NVDA, GOOGL, MSFT, AAPL stabilize after December expiration. ORCL approaching tactical buy zone near $172-173. Down 47% from September highs. Piotroski 4, ROIC 12.4%, Z-Score 2.6. If support holds, initial target $238, secondary $258. A trade setup, not an investment at these lev

    Unknown Author
    12/18/25
    147
    Technical Analysis
    Also mentions:
    AVGO
    AAPL
    MSFT
    GOOGL
    ORCL

    News

    Frequently Asked Questions About ORCL

    What is ORCL's current dividend yield?
    Oracle Corporation (ORCL) has a current dividend yield of 1.55%.
    Does ORCL pay dividends?
    Yes, Oracle Corporation pays dividends with a current yield of 1.55%.
    What is ORCL's P/E ratio?
    Oracle Corporation has a price-to-earnings (P/E) ratio of 20.40.
    What is ORCL's market cap?
    Oracle Corporation (ORCL) has a market capitalization of $434.52B with a current stock price of $149.09.

    Get full access to GNG Research

    Create a free account to access portfolio tracking, advanced tools, and more.