Coca-Cola Company (The) Common Stock (KO)
Stock · Consumer Staples
KO historical returns, growth, and risk - total return with all dividends reinvested, 1962-02-28 to 2026-06-30.
KO · $10,000 invested at 1962-02-28
CAGR12.29%
Total return174969.01%
Max drawdown-64.46%Sep 1974
Volatility20.30%
Sharpe0.46
Final balance$17,506,901
Best year77.08%1989
Worst year-56.96%1974
Avg daily volume16.3M
Avg daily $ volume$1.29B
Growth of $10,000 (log scale)
Drawdown
Annual returns
Highly correlated alternatives
No fund or stock tracked KO closely (correlation ≥ 0.90) over the last ~5 years - it behaves fairly uniquely.
About backtesting KO
This page shows the historical total return of Coca-Cola Company (The) Common Stock (KO) - its compound annual growth rate (CAGR), maximum drawdown, annualized volatility, and Sharpe ratio - with all dividends reinvested. Past performance does not guarantee future results. To test KO inside a full portfolio alongside other assets, with contributions and rebalancing, open it in the free backtester.