US · USD

TM

Toyota Motor Corporation ADR

US$182.63-2.19% (-US$4.08)
Day's range
US$182.91 – US$186.71
Day's volume
US$52.1m
52-week range
US$166.50 – US$248.29

Follow TM on Fuolio

See how TM weighs in your net worth, what it has paid you and how far it is from your target allocation.

Create a free account

TM in numbers

Market cap
US$2.4tn
Dividend yield (12m)
1.72%

The 12-month dividend yield of TM is 1.72%, below its 5-year average of 2.73%.

TM price history

01/10/202501/10/2026
Compare with

TM risk and return

Monthly closes adjusted for splits and distributions.

Metric12 months36 months60 months
Return-10.33%+9.35%+14.51%
Volatility (annualised)27.77%26.52%25.48%
Largest drawdown-30.51%-31.23%-32.69%
Positive months5/1214/3626/60

How much did investing in TM return?

US$1,000.00 invested on 01/10/2021 would be worth US$1,142.17 today.

Value today in TM
US$1,142.17
Return over the period
+14.22%
Return per year
+2.69%
In the S&P 500
US$1,658.65

With dividends reinvested, before taxes and costs, at month-end closes. Past returns do not guarantee future ones.

What is TM's fair price?

Two classic value formulas, with today's numbers. The current price is US$182.63.

Graham's fair price
—
TM's earnings per share and book value per share are not available, so the formula cannot be calculated.

Benjamin Graham paid no more than a P/E of 15 and a P/B of 1.5. Their product, 22.5, times earnings (EPS) and book value per share gives the fair price.

Bazin's ceiling price
US$83.13
54.48% below the price

US$4.99 (5-year average) ÷ 6%

Décio Bazin only bought shares yielding at least 6% a year in distributions. The ceiling price is the average dividend per share of recent years divided by 6%.

Graham ignores growth and debt; Bazin assumes past distributions will repeat. They are reference points for comparison, not a buy recommendation.

TM indicators by year

Multiples at each year's closing price; margins and returns from that year's accounts.

Indicator2013201220112010
ROE7.92%2.69%3.95%2.02%
ROIC4.57%0.95%1.55%0.87%
Gross margin18.37%15.00%15.84%15.72%
EBITDA margin11.00%7.66%8.65%8.24%
Net margin4.36%1.53%2.15%1.11%
Net debt/EBITDA2.233.001.890.76

TM financial statements

Line2013201220112010
Net revenueUS$234.6bnUS$226.1bnUS$228.4bnUS$203.7bn
Cost of sales-US$191.5bn-US$192.2bn-US$192.3bn-US$171.7bn
Gross profitUS$43.1bnUS$33.9bnUS$36.2bnUS$32bn
EBITDAUS$25.8bnUS$17.3bnUS$19.8bnUS$16.8bn
EBITUS$14bnUS$4.3bnUS$5.6bnUS$1.6bn
Net finance resultUS$880mUS$940mUS$1.1bnUS$1.5bn
Profit before taxUS$14.9bnUS$5.3bnUS$6.8bnUS$3.1bn
Income tax-US$5.9bn-US$3.2bn-US$3.8bn-US$996m
Net incomeUS$10.2bnUS$3.5bnUS$4.9bnUS$2.3bn

Figures the company filed with the CVM. Debt excludes leases; each quarter is that quarter alone.

Does TM pay dividends?

Dividend yield per year

  • 2.96%2017
  • 3.40%2018
  • 2.86%2019
  • 2.74%2020
  • 2.45%2021
  • 2.90%2022
  • 2.45%2023
  • 2.81%2024
  • 3.02%2025
  • 1.71%2026
Payment history
TypeLast day to ownPaymentPer share
Dividend30/03/202608/06/2026US$3.13
Dividend29/09/202508/12/2025US$3.01
Dividend28/03/202505/06/2025US$3.46
Dividend27/09/202406/12/2024US$2.60
Dividend26/03/202403/06/2024US$2.86
Dividend27/09/202304/12/2023US$2.00
Dividend29/03/202306/06/2023US$2.50
Dividend28/09/202207/12/2022US$1.76
Dividend29/03/202206/06/2022US$2.20
Dividend28/09/202106/12/2021US$2.10
Dividend29/03/202107/06/2021US$2.45
Dividend28/09/202007/12/2020US$2.02
See all 19 distributions
Earlier distributions
TypeLast day to ownPaymentPer share
Dividend27/03/202008/06/2020US$2.23
Dividend26/09/201909/12/2019US$1.83
Dividend27/03/201904/06/2019US$2.19
Dividend26/09/201807/12/2018US$1.76
Dividend27/03/201804/06/2018US$2.19
Dividend27/09/201707/12/2017US$1.80
Dividend29/03/201705/06/2017US$1.97

About Toyota Motor

Sector
Manufacturing

Questions about TM

How much is TM today?

TM is at US$182.63 (-2.19% on the day), last traded on 01/10/2026.

How much did TM pay in dividends in 2025?

TM paid US$6.46 per share in 2025, a dividend yield of 3.02%.

How much did TM return in 12 months?

TM returned -10.33% in 12 months, with annualised volatility of 27.77% and a largest drawdown of -30.51%.