Bank of America (BAC)
51.64
+0.16 (0.31%)
NYSE · Last Trade: Nov 19th, 12:21 AM EST
Detailed Quote
| Previous Close | 51.48 |
|---|---|
| Open | 51.28 |
| Bid | 51.60 |
| Ask | 52.00 |
| Day's Range | 51.15 - 52.18 |
| 52 Week Range | 33.06 - 54.69 |
| Volume | 35,189,557 |
| Market Cap | - |
| PE Ratio (TTM) | - |
| EPS (TTM) | - |
| Dividend & Yield | 1.120 (2.17%) |
| 1 Month Average Volume | 35,251,119 |
Chart
About Bank of America (BAC)
Bank of America is a multinational financial services company that provides a wide range of banking and financial solutions to individuals, businesses, and institutional clients. The company offers services such as consumer banking, commercial banking, investment banking, asset management, and wealth management. With a robust network of branches and digital platforms, Bank of America aims to deliver accessible and innovative financial products, including mortgages, credit cards, and investment advisory services. The organization is committed to supporting economic growth and sustainability while serving a diverse clientele across various markets. Read More
News & Press Releases
Washington D.C. – November 18, 2025 – A deepening divide within the Federal Reserve's ranks regarding the nation's economic trajectory and the necessity of future interest rate adjustments is sending ripples of uncertainty across global financial markets. As the 19-member Federal Open Market Committee (FOMC) grapples with conflicting data and divergent
Via MarketMinute · November 18, 2025
Global stock markets are currently experiencing a significant and broad-based selloff, with investors pulling back from equities across Asia, Europe, and the United States. The primary catalysts for this downturn are mounting "AI jitters" and growing concerns over "AI valuations," as market participants question the sustainability of the rapid growth
Via MarketMinute · November 18, 2025
Sharp disagreements among Federal Reserve officials regarding the direction of the economy are significantly jeopardizing the likelihood of an interest rate cut next month, specifically in December 2025. This internal discord within the Federal Open Market Committee (FOMC) has injected substantial uncertainty into financial markets, causing a notable recalibration of
Via MarketMinute · November 18, 2025
The S&P 500 Financials Sector finds itself at a critical juncture on November 18, 2025, as persistent concerns over the health of the U.S. economy and the ever-shifting prospects of central bank interest rate cuts continue to dictate its volatile movements. Today's trading session reflects a cautious sentiment,
Via MarketMinute · November 18, 2025
The financial landscape is undergoing a significant transformation as the Federal Reserve pivots from a period of aggressive rate hikes to a new cycle of interest rate cuts. As of November 18, 2025, the U.S. central bank has already initiated several reductions to the federal funds rate, a move
Via MarketMinute · November 18, 2025
The Federal Reserve has announced a significant shift in its monetary policy, signaling an end to its aggressive balance sheet reduction, commonly known as Quantitative Tightening (QT). In a pivotal decision made in October 2025, the Federal Open Market Committee (FOMC) declared its intention to conclude the reduction of its
Via MarketMinute · November 18, 2025
As the calendar turns to late 2025, the White House is deep into the process of selecting the next Chair of the Federal Reserve, a decision poised to reshape U.S. monetary policy and global financial markets. With current Chair Jerome Powell's term set to conclude in May 2026, President
Via MarketMinute · November 18, 2025
Bank of America (NYSE: BAC) has recently sounded a significant alarm for the stock market, issuing a "sell signal" that has sent ripples of concern through the financial world. This cautionary indicator, triggered in November 2025, points to dangerously low levels of investor cash balances, suggesting that the market may
Via MarketMinute · November 18, 2025
As the global economy navigates a complex landscape of persistent inflation, evolving monetary policies, and geopolitical uncertainties, a palpable tension is building within the financial sector. Analysts and investors are closely monitoring key bank and financial stocks, many of which appear to be approaching or testing critical technical support levels.
Via MarketMinute · November 18, 2025
Global financial markets are gripped by a growing sense of trepidation as concerns over an "AI bubble" intensify, casting a long shadow over the tech stock market. With major earnings reports looming, particularly from bellwether companies like Nvidia (NASDAQ: NVDA), investors are on edge, scrutinizing every metric for signs of
Via MarketMinute · November 18, 2025
The U.S. stock market is currently navigating a turbulent period, marked by significant declines across all major indices and a notable four-day losing streak for the S&P 500, its longest such run since August. As of November 18, 2025, a palpable "risk-off" sentiment has gripped investors, fueled by
Via MarketMinute · November 18, 2025
InvestorNewsBreaks – Standard Lithium Ltd. (NYSE American: SLI) Senior Leadership to Participate in Multiple November and December Investor Conferences
This article has been disseminated on behalf of Standard Lithium Ltd. and may include paid advertising.
Via Investor Brand Network · November 18, 2025
As Illinois Tool Works has trailed behind the broader market over the past year, Wall Street analysts maintain a cautious outlook about the stock’s prospects.
Via Barchart.com · November 18, 2025
Global financial markets are currently grappling with a potent cocktail of uncertainty, as fears of an "AI bubble" reaching critical mass have triggered a four-day losing streak for global stock markets. This dramatic shift in sentiment, reminiscent of the dot-com bust, has seen investors pull back from speculative assets. While
Via MarketMinute · November 18, 2025
Brown & Brown has trailed the broader market over the past year, and analysts remain neutral about the stock’s near-term prospects.
Via Barchart.com · November 18, 2025
New York, NY – November 18, 2025 – Global stock markets experienced a significant plunge today, November 18, 2025, with major U.S. indices hitting multi-week lows as investor sentiment soured dramatically. The tech-heavy Nasdaq Composite led the decline, closing below a key technical indicator for the first time since late April,
Via MarketMinute · November 18, 2025
XRP and Tron both bring much-needed innovation to the cross-border transaction market.
Via The Motley Fool · November 18, 2025
J. M. Smucker has underperformed the broader market over the past year, but analysts are moderately optimistic about the stock’s prospects.
Via Barchart.com · November 18, 2025
The Oracle of Omaha has dumped almost 465 million shares of Bank of America stock since mid-2024, and has purchased shares of a consumer-facing juggernaut for five consecutive quarters.
Via The Motley Fool · November 18, 2025
As of November 17, 2025, the specter of persistent inflation continues to cast a long shadow over global financial markets, prompting a significant shift in investor strategies. With consumer prices stubbornly high and producer costs reflecting ongoing economic pressures, a growing cohort of investors is turning to the time-honored safe
Via MarketMinute · November 17, 2025
New York, NY – November 17, 2025 – Federal Reserve Governor Christopher Waller continues to be a prominent voice advocating for further interest rate cuts, even as the broader market and some of his colleagues express caution. On the current date, November 17, 2025, Waller reiterated his call for an additional rate
Via MarketMinute · November 17, 2025
The United States is currently witnessing a significant cooling in its job market, a trend that has prompted the Federal Reserve to implement successive interest rate cuts in recent months. As of November 17, 2025, the central bank's dual mandate—to foster maximum employment and maintain price stability—is heavily
Via MarketMinute · November 17, 2025
Via MarketBeat · November 17, 2025
Washington D.C., November 17, 2025 — Financial markets are currently undergoing a significant recalibration of expectations regarding the Federal Reserve's interest rate policy. What was once a near certainty of a December rate cut has rapidly diminished, leaving investors to grapple with the growing prospect of interest rates remaining "higher
Via MarketMinute · November 17, 2025
As November 17, 2025, dawns, financial markets are gripped by a palpable sense of anticipation, with investors eagerly awaiting the release of the latest Employment Situation Report. This critical economic indicator, often referred to simply as the jobs report, is poised to offer invaluable insights into the health of the
Via MarketMinute · November 17, 2025
