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BlackRock, Inc.

NYSE:BLK

$1025.44 USD

-$6.12 (-0.59%)

Volume
544.54K
Average Volume
724.5K
Market Capitalization
$158.94B
P/E Ratio
25.42
Dividend Yield
2.13%
Price Target
$1350.50
Year High
$1219.94
Year Low
$917.39
Day High
Day Low
Payout Ratio
$0.56
Current Ratio
$6.80
Date EPS Estimated Time Revenue Revenue Estimated
2026-07-15 12.68 After Market Close $- $6.72B
2026-04-14 11.65 After Market Close $6.7B $6.55B
2026-01-15 12.24 After Market Close $7.01B $6.76B
2025-10-14 11.36 After Market Close $6.51B $6.33B
2025-07-15 10.78 After Market Close $5.42B $5.45B
2025-04-11 10.08 After Market Close $5.28B $5.29B
2025-01-15 11.27 After Market Close $5.68B $5.57B
2024-10-11 10.33 After Market Close $5.2B $5.03B
2024-07-15 9.93 After Market Close $4.8B $4.85B
2024-04-12 9.35 After Market Close $4.73B $4.66B
2024-01-12 8.84 After Market Close $4.63B $4.65B
2023-10-13 8.26 After Market Close $4.52B $4.51B
2023-07-14 8.46 After Market Close $4.46B $4.47B
2023-04-14 7.76 After Market Close $4.24B $4.41B
2023-01-13 8.11 After Market Close $4.34B $4.25B
2022-10-13 7.07 After Market Close $4.31B $4.2B
2022-07-15 7.90 After Market Close $4.53B $4.55B
2022-04-13 8.75 After Market Close $4.7B $4.67B
2022-01-14 10.23 After Market Close $5.11B $5.16B
2021-10-13 9.35 After Market Close $5.05B $4.88B
2021-07-14 9.46 After Market Close $4.82B $4.59B
2021-04-15 7.64 After Market Close $4.4B $4.28B
2021-01-14 9.17 After Market Close $4.48B $4.27B
2020-10-13 7.80 After Market Close $4.37B $3.7B
2020-07-17 6.99 After Market Close $3.65B $3.25B
2020-04-16 6.36 After Market Close $3.71B $3.58B
2020-02-28 After Market Close $3.98B $-
2019-10-15 6.96 After Market Close $3.69B $3.59B
2019-07-19 6.50 After Market Close $3.52B $3.57B
2019-04-16 6.13 After Market Close $3.35B $3.1B
2019-02-28 After Market Close $3.43B $-
2018-10-16 6.84 After Market Close $3.58B $3.25B
2018-07-16 6.55 After Market Close $3.6B $3.55B
2018-04-12 6.39 After Market Close $3.58B $3.42B
2018-02-28 After Market Close $3.76B $-
2018-01-12 6.02 After Market Close $3.51B $3.63B
2017-07-17 5.40 After Market Close $3.24B $3.06B
2017-04-19 4.89 After Market Close $3.09B $2.88B
2017-02-28 After Market Close $2.89B $-
2017-01-13 5.02 After Market Close $2.84B $2.82B
2016-07-14 4.78 After Market Close $2.8B $2.8B
2016-04-14 4.29 After Market Close $2.62B $2.65B
2016-02-26 After Market Close $2.86B $-
2015-10-14 4.57 After Market Close $2.91B $2.66B
2015-07-15 4.80 After Market Close $2.9B $2.81B
2015-04-16 4.52 After Market Close $2.72B $2.52B
2015-02-27 After Market Close $2.78B $-
2014-10-15 4.66 After Market Close $2.85B $2.55B
2014-07-16 4.46 After Market Close $2.78B $2.53B
2014-04-17 4.11 After Market Close $2.67B $2.48B
2014-02-28 After Market Close $2.78B $-
2013-10-16 3.88 After Market Close $2.47B $2.47B
2013-07-18 3.82 After Market Close $2.48B $2.28B
2013-04-16 3.58 After Market Close $2.45B $2.4B
2013-02-28 After Market Close $2.54B $-
2012-10-17 3.32 After Market Close $2.32B $2.22B
2012-07-18 3.01 After Market Close $2.23B $2.16B
2012-04-18 3.04 After Market Close $2.25B $2.16B
2012-02-28 After Market Close $2.23B $-
2011-10-19 2.63 After Market Close $2.22B $2.07B
2011-07-20 2.88 After Market Close $2.35B $2.25B
2011-04-21 2.77 After Market Close $2.28B $2.14B
2011-01-25 2.90 After Market Close $2.49B $2.11B
2010-10-20 2.46 After Market Close $2.09B $1.87B
2010-07-21 2.29 After Market Close $2.03B $1.96B
2010-04-26 2.45 After Market Close $2B $2.04B
2010-03-10 After Market Close $1.54B $-
2009-10-20 1.93 After Market Close $1.14B $1.05B
2009-07-21 1.58 After Market Close $1.03B $929.04M
2009-04-21 0.81 After Market Close $987M $987M
2009-02-27 After Market Close $1.06B $-
2008-10-21 1.88 After Market Close $1.31B $1.44B
2008-07-17 1.97 After Market Close $1.39B $1.28B
2008-04-16 2.00 After Market Close $1.3B $1.37B
2008-02-28 After Market Close $1.44B $-
2007-10-17 1.91 After Market Close $1.3B $1.08B
2007-07-18 1.68 After Market Close $1.1B $1.02B
2007-04-19 1.62 After Market Close $1.01B $1.02B
2007-03-13 After Market Close $1.02B $-
2006-10-30 1.15 After Market Close $323.06M $348.34M