Walmart Inc. (WMT) Stock Price, Analysis & Forecast 2026

NASDAQ
WMT
Walmart Inc.
Updated 2026-05-07

Walmart Inc. (WMT) Stock Price, Analysis & Forecast 2026

Current price
$130.43 ▲ 0.18%
Market cap$1.04T
ConsensusBuy
Price target$137.22 +5.5%
52-week range91.89-134.69
Next earnings2026-05-21

WMT interactive stock chart

Key statistics

Overall score

✓ Buy
Valuation

6.8/10

Financial health

5.4/10

Profitability

10/10

Growth

6.2/10

Analyst consensus

7.2/10

Current price
$130.43 ▲ 0.18%
NASDAQ · Live

52-week range
91.89-134.69
Low89%High
Short pressure
55.2%
Moderate short activity
Revenue TTM
$713.16B
↑ 4.7% YoY

Market cap
$1.04T
Large-cap

Next earnings
2026-05-21
EPS est. $0.65
Market cap$1.04TToday’s volume16,368,946
Revenue (TTM)$713.16BAvg. daily volumeN/A
P/E ratio47.36xToday’s range129.53 – 131.15
Debt / equity0.67x52-week range91.89-134.69
Net margin3.07%Beta0.652x
ROEN/A%Current ratio0.79x
Dividend & yield$0.9525 (0.01%)Next earnings2026-05-21
FCF yield1.44%FMP ratingB+
DCF fair value$148.11 (13.9%)Revenue growth4.7%
Other Consumer Defensive stocks to watchAll stocks →

See also: BJ · COST · DG · DLTR · KO · All Discount Stores stocks

Is WMT a good stock to buy in 2026?

Cautious Buy
Key signals
✓ 71.9% analyst Buy✓ +5.5% upside to $137.22✓ $1.04T large-cap✓ Short pressure 55.2%
✗ P/E 47.36x vs sector 48.4x

Walmart Inc. (WMT) shows a mixed but generally positive outlook for investors. While its P/E ratio of 47.36x is slightly below the Discount Stores sector average of 48.4x, suggesting a fair valuation, its robust DCF fair value of $148.11 indicates a potential 13.9% undervaluation. The strong analyst consensus, with 71.9% recommending a ‘Buy,’ further bolsters confidence in WMT stock.

Top Strength: Strong Analyst Conviction
Top Weakness: Tight Current Ratio
Overall Signal: Cautious Buy

2026 WMT price scenarios

Based on analyst consensus of $137.22 from 64 analysts. Not a prediction by Alert Invest.

Pessimistic$120
-7.7%

Key risks:

  • Increased competition from online retailers and discount chains erodes market share.
  • Supply chain disruptions or higher operating costs significantly impact profit margins.
  • A slowdown in consumer spending due to economic pressures reduces sales volume.
6.2% of analysts · sell

Base case$137.22
+5.5% upside

Assumes:

  • WMT continues to grow revenue at a moderate pace, aligning with the forward revenue estimate of $886.5 billion.
  • Earnings per share (EPS) stabilize, matching the forward EPS estimate of $4.04667.
  • Walmart effectively manages inflationary pressures and operational efficiencies to maintain current profitability.
21.9% hold · consensus view

Optimistic$150
+15.3% upside

Requires:

  • E-commerce acceleration and global market expansion exceed current growth projections.
  • Successful implementation of new technologies and automation drives significant cost savings and margin expansion.
  • Strong consumer demand and effective pricing strategies lead to higher-than-expected revenue and earnings beats.
0.0% of analysts · strong buy

How does WMT compare?

Side-by-side valuation, growth, and analyst ratings vs top Consumer Defensive competitors.

About Walmart Inc. (WMT)

Walmart Inc. engages in the operation of retail, wholesale, other units, and eCommerce worldwide. The company operates through three segments: Walmart U.S., Walmart International, and Sam’s Club.

John R. Furner serves as the CEO of Walmart Inc., a global retail giant known for its expansive operations in the retail, wholesale, and e-commerce sectors. With a massive global presence, Walmart’s distinctive strengths include its unparalleled scale, extensive supply chain, and strong brand recognition, which collectively allow it to offer competitive pricing and reach a vast customer base worldwide. The company’s ability to adapt its retail models, from supercenters to online fulfillment, positions it uniquely in the Consumer Defensive sector.

WMT competitive moat and business analysis

Walmart Inc. leverages its immense scale and efficient supply chain as primary competitive advantages, allowing it to maintain competitive pricing and generate significant revenue. Despite its massive top-line figures, WMT operates with a relatively low net margin of 3.07%, typical for high-volume discount retailers. Profitability metrics like ROE and ROIC are currently N/A in the provided data, but the company’s sheer operational footprint typically indicates a strong ability to generate cash flow from its assets, even with tight margins. This operational efficiency is crucial for its market position in the Consumer Defensive sector.

Walmart’s business model is diversified across its three main segments: Walmart U.S., Walmart International, and Sam’s Club, all contributing to its substantial reported revenue of $713.16 billion. While specific revenue breakdowns by segment or geographical region for fiscal year 2026 are not detailed in the provided data, the company’s global presence underscores its broad market reach and ability to cater to diverse consumer needs across different economic landscapes. This diversification helps mitigate risks associated with reliance on a single market or retail format, reinforcing its status as a leading Discount Stores operator.

The company’s revenue growth of 4.7% indicates a steady expansion, reflecting its ability to adapt and grow even in mature markets. During the Q4 FY2025 earnings call, Steph Wissink noted, “We appreciate you joining us and your interest in Walmart. Joining me today from our home office in Bentonville are Walmart’s CEO, Doug McMillon; and CFO, John David Rainey. Doug and John David will first share their views on the quarter, and then we’ll open up the line for your questions.” This ongoing engagement with investors highlights the company’s transparency and focus on delivering shareholder value through strategic initiatives, further solidifying its competitive position and long-term moat. The company constantly innovates its e-commerce platforms and in-store experiences to maintain its market dominance.

When evaluating WMT stock, it’s essential to compare its performance against key competitors within the Consumer Defensive sector, specifically Discount Stores. Walmart’s vast network and market dominance set it apart, but peers like BJ’s Wholesale Club (BJ), Costco Wholesale Corporation (COST), and Dollar General Corporation (DG) also offer significant value to consumers. Each competitor has unique strengths and market positions, influencing their respective valuations and growth trajectories. Analyzing these comparisons can provide deeper insights into WMT valuation relative to the broader industry.

Walmart Inc. analyst rating

Based on 64 analysts. 71.9% rate WMT Buy or Strong Buy.

Buy / Hold / Sell breakdown

BUY
64 analysts

Buy71.9%

Hold21.9%

Sell6.2%

12-month price target range
$120$137.22$150
LowConsensusHigh
Current price$130.08Below all targets
To consensus
+5.5%
To high
+15.3%
Analysts
64
Buy
Based on 64 analyst ratings
Consensus target
$137.22
+5.5% upside
Strong buy

0.0%

Buy

71.9%

Hold

21.9%

Sell

6.2%

Strong sell

0.0%

A 71.9% “Buy” rating for WMT stock is considered robust within the Consumer Defensive sector, indicating strong confidence among analysts in Walmart’s stability and growth prospects. This level of consensus suggests that WMT is a good stock in the eyes of many professionals, reflecting its consistent performance and strategic initiatives.

WMT financial scorecard

Comprehensive ranking of WMT across four financial dimensions.

Financial strength

6.0/10

MetricValueSignal & strength
Debt / equity0.67x
Moderate

Current ratio0.79x
Tight

FCF yield1.44%
Weak

DCF vs price+13.9%
Undervalued

FMP debt score2/5
Below avg

Profitability rank

10/10

MetricValueSignal & strength
Gross margin24.93%
Low

Net margin3.07%
Low

EBITDA margin6.52%
Low

ROEN/A
Low

ROAN/A
Low

FMP ROE score5/5
Above avg

Growth rank

5.9/10

MetricValueSignal & strength
Revenue growth YoY+4.7%
Slowing

Revenue (TTM)$713.16B
Large scale

Forward EPS est.$4.04667
Analyst consensus

Forward revenue$886.5B
Analyst consensus

FMP DCF score4/5
Above avg

Valuation rank

2.0/10

MetricValueSignal & strength
P/E ratio47.36x
Fair

P/B ratio10.41x
Expensive

P/S ratio1.45x
Cheap

DCF fair value$148.11
Undervalued

FMP P/E score1/5
Below avg

FMP overall3/5
Average

Is WMT undervalued or overvalued?

DCF $148.11Fair valuePremiumHigh $150
CheapPremiumRich

$130.08
P/E ratio
47.36x

Fair

P/B ratio
10.41x

Expensive

P/S ratio
1.45x

Cheap

DCF value
$148.11

Undervalued

FCF yield
1.44%

Fair

Analyst tgt
$137.22

+5.5% upside

WMT P/E ratio
47.36x
Discount Stores sector avg
48.4x
Premium / discount
1.0 discount to sector

Evaluating WMT valuation reveals a nuanced picture. The company’s P/E ratio stands at 47.36x, which is marginally lower than the Discount Stores sector average of 48.4x, suggesting that WMT stock is trading at a fair, if not slightly discounted, multiple compared to its industry peers. This indicates that while the market acknowledges Walmart’s strong position, it isn’t currently valuing it at an excessive premium based on earnings.

Furthermore, the Discounted Cash Flow (DCF) model estimates WMT’s fair value at $148.11, implying a substantial 13.9% upside from its current price. This DCF analysis suggests that, from a fundamental perspective, WMT stock may be undervalued, offering a compelling entry point for value-oriented investors. The combination of a relatively fair P/E and a positive DCF signal indicates potential for WMT to appreciate towards its intrinsic value over time.

WMT financial health & key metrics

MetricWMTSector avgSignal
P/E ratio47.36x48.4xSlightly undervalued
Net margin3.07%Low
ROE / ROICN/AN/A
Debt / equity0.67xModerate
FCF yield1.44%Weak
Revenue growth4.7%Moderate
DCF fair value$148.11Undervalued

For value investors considering WMT stock, the current financial health presents a mixed but cautiously optimistic profile. While the net margin and FCF yield appear modest and the current ratio is tight, the P/E ratio is fair relative to its sector, and the DCF model points to WMT being undervalued by nearly 14%. The moderate debt-to-equity ratio adds a layer of stability. These factors suggest that despite some areas for improvement in efficiency, Walmart’s underlying intrinsic value and consistent revenue growth make it an appealing candidate for long-term positions.

Walmart Inc. earnings history & next report

Walmart Inc. reported EPS of $0.74, beating estimates by 1.79%. Next earnings: 2026-05-21 with EPS estimate of $0.65.

Investors will be keenly watching Walmart Inc.’s next earnings report on 2026-05-21, where the estimated EPS is $0.65. Given that the company recently beat estimates with an EPS of $0.74, surpassing projections by 1.79%, attention will be on whether this positive momentum can be sustained. Key areas of focus for the upcoming report will include commentary on consumer spending trends, the performance of its e-commerce initiatives, and any updates on cost management strategies amid ongoing inflationary pressures.

WMT daily short volume

Short volume data from FINRA CNMS Consolidated — shares sold short in the most recent US trading session. A high short ratio can signal bearish conviction or a potential short squeeze. Updated every trading day.

Short ratio
55.2%
Moderate short activity
Short volume
2.32M
shares sold short
Total volume
4.20M
FINRA-reported
Short ratio barSession: 2026-05-06
0%55.2% shorted100%
MetricValueContext
Short volume ratio55.2%40-60% = moderate
Shares sold short2.32MFINRA-reported for 2026-05-06
Total reported volume4.20MAll FINRA ATS + OTC volume
Exempt short volume12.2KMarket-maker / arbitrage exempt trades
SignalModerate short activityFINRA CNMS Consolidated

WMT insider trading activity

Corporate insiders must report trades to the SEC within two business days.

Insider signal
Bearish
Insiders are net sellers — worth monitoring closely.
Total purchases
$0
0 transactions
Total sales
$4,756,196
7 transactions
DateInsiderRoleTypeSharesPriceValueFiling
2026-04-23Mcmillon C DouglasDirectorSale19,416$132.21$2,566,987SEC
2026-04-15Bartlett Daniel JOfficer: Executive Vice PresidentSale1,335$124.63$166,381SEC
2026-04-16Nicholas Christopher JamesOfficer: Executive Vice PresidentSale2,003$124.37$249,113SEC
2026-04-16Nicholas Christopher JamesOfficer: Executive Vice PresidentSale897$125.51$112,582SEC
2026-04-16Furner John R.Director, Officer: President & CeoSale6,703$124.63$835,395SEC
2026-04-16Furner John R.Director, Officer: President & CeoSale6,422$125.06$803,135SEC

Source: SEC Form 4 via EDGAR · Data: Financial Modeling Prep · Not investment advice

Recent WMT analyst rating changes

FirmPreviousNew ratingDateAction
Morgan StanleyOverweightOverweight2026-04-22Reiterated
GuggenheimBuyBuy2026-04-13Reiterated
Tigress FinancialBuyBuy2026-02-25Reiterated
Evercore ISI GroupOutperformOutperform2026-02-23Reiterated
Truist SecuritiesBuyBuy2026-02-20Reiterated

Walmart Inc. stock news today

No major news regarding WMT stock has been reported this week.

How does WMT compare to its peers?

When considering an investment in WMT stock, it’s beneficial to analyze how Walmart compares to other significant players in the Consumer Defensive sector. These companies, operating in the Discount Stores industry, often exhibit similar characteristics regarding market stability and consumer reliance, but each brings its own unique operational model and market positioning.

BJ

BJ’s Wholesale Club Holdings, Inc. operates as a membership-only warehouse club chain. It offers a wide array of products, from groceries to electronics, serving a similar value-conscious customer base to Walmart. Compare WMT vs BJ

COST

Costco Wholesale Corporation operates an international chain of membership warehouses. Known for its bulk offerings and curated selection, Costco represents a direct competitor in the wholesale and discount retail space. Compare WMT vs COST

DG

Dollar General Corporation is a leading discount retailer, primarily targeting rural and suburban areas. It focuses on providing everyday necessities at low prices, appealing to a demographic that often overlaps with Walmart’s customer base. Compare WMT vs DG

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FAQ — Walmart Inc. (WMT) stock

As of 2026-05-07, WMT market cap is $1.04T.

WMT P/E is 47.36x vs Discount Stores sector avg 48.4x. The P/E ratio is slightly below the sector average, indicating it is currently fairly valued.

Based on 64 analysts, consensus target is $137.22 (+5.5% upside). High: $150. Low: $120. Not a prediction by Alert Invest.

Yes, with 71.9% of analysts recommending a ‘Buy’ and a consensus price target indicating a 5.5% upside, WMT stock is generally considered a good investment for 2026, especially given its P/E ratio is slightly below the sector average. Not investment advice.

P/E 47.36x vs sector 48.4x. DCF $148.11 (13.9% vs price). P/S 1.45x, P/B 10.41x. Based on these metrics, WMT stock appears to be fairly valued to slightly undervalued at its current price, offering potential for modest appreciation according to the DCF model.

For informational purposes only. Not investment advice. Data: Financial Modeling Prep & SEC EDGAR. Always do your own research.