Font: Financial Modeling Prep • Jun 26, 2026
Nike, Inc. (NYSE:NKE) is a global leader in the design, development, and marketing of athletic footwear, apparel, and equipment. The company operates worldwide with well-known brands such as Nike, Converse, and Jordan. It competes in a highly active athletic footwear and sportswear market against other major sportswear companies like Adidas and Puma.
On June 30, 2026, Nike is scheduled to release its quarterly earnings report after the market closes. The central focus for investors is Wall Street's consensus estimate for the company's financial performance. Analysts expect earnings of $0.11 per share, with revenue projected to be approximately $10.85 billion for the quarter.
As highlighted by Zacks, this expected earnings figure represents a 21.4% decline compared to the same quarter last year. The projected revenue of $10.88 billion also indicates a 2% decrease from the year-ago period. These estimates suggest that Nike may be facing some business challenges in the recent quarter.
Ahead of the report, analyst firm Needham maintains a "Hold" rating on the stock. As reported by Gurufocus, Needham raised its fourth-quarter earnings per share estimate from $0.08 to $0.28. This significant revision reflects a tariff-refund benefit that was not originally factored into the company's financial guidance.
Looking at Nike's financial health, its debt-to-equity ratio stands at 0.79, which measures a company's debt relative to the value of its stock. A ratio under 1.0 suggests that assets are funded more by equity than debt. The company's current ratio of 2.14 shows it has enough short-term assets to cover its short-term liabilities.
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