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$38.13
▼ -$0.5150(-1.33%)1:29 PM ET - vs previous closeiQuote as of Aug 19, 2026, 1:29 PM EDT
Realtime NYSE quote as of Aug 19, 2026, 1:29 PM EDT.
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The page is most useful as a monitor until one side gets cleaner confirmation.
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Entry timing, risk check, and catalyst scan
What has to keep working for US investors to stay interested.
Trend support
+9.2%Current price is above the 200-day average.
Where the dashboard says the thesis can break or get crowded.
Balance-sheet drag
-37.6%-$30.96B net balance-sheet position.
Catalysts and positioning checks that are not duplicate live-pulse metrics.
Latest catalyst
BenzingaMorgan Stanley Maintains Underweight on Enterprise Prods Partners, Raises Price Target to $41
The playbook is derived from quote, analyst, financial, news, and trend snapshots. It is a research workflow aid, not a buy or sell recommendation.
As of Aug 19, 2026, 1:29 PM EDT, Enterprise Products Partners L.P. (EPD) traded at $38.13, a -1.33% move versus the prior close, ranging between $38.04 and $38.75 intraday, and on volume of 1.62M shares. The stock has traded between $30.01 and $40.17 over the past 52 weeks, carries a market capitalization of $82.24B, trades at 13.18x trailing earnings, and yields 5.7% in dividends. Sell-side analysts rate EPD Buy across 26 ratings and carry an average price target of $41.20 (+8.07% implied versus the last quote). EPD's record close stands at $41.38, set on Sep 10, 2014.
Buy analyst tone. Latest catalyst: Morgan Stanley Maintains Underweight on Enterprise Prods Partners, Raises Price Target to $41 (Benzinga).
Balanced watch. Track record validation (87/100) is the strongest signal; news sentiment (17/100) is the main constraint. Model confidence is 55/100 — some inputs are unavailable, so treat this as a directional research screen rather than a forecast. Long-term secular context is tracked separately: 5 Years +154.9% total; yesterday -1.4%. Comparable past signals have verified against subsequent prices 23% of the time.
Expected-return math is scaled by beta and realized volatility before confidence is applied.
Short-horizon expected moves are volume-weighted so thin moves get less credit than confirmed tape.
Sector momentum is included beside the broader market regime.
| Enterprise value | $113.20B |
| Price / sales | 1.41 |
| Operating margin | 13.43% |
| Return on assets | 7.71% |
| EPS (TTM) | $2.89 |
| Beta (5Y) | 0.48 |
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