D.R.Horton (DHI)

144.47
+0.00 (0.00%)
NYSE · Last Trade: Dec 24th, 9:01 AM EST
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Detailed Quote

Previous Close144.47
Open-
Bid144.10
Ask145.26
Day's RangeN/A - N/A
52 Week Range110.44 - 184.54
Volume824
Market Cap51.75B
PE Ratio (TTM)16.03
EPS (TTM)9.0
Dividend & Yield1.800 (1.25%)
1 Month Average Volume3,328,226

Chart

About D.R.Horton (DHI)

D.R. Horton is a prominent homebuilding company that specializes in the construction and sale of residential properties across the United States. With a focus on providing a variety of housing options, the company caters to different market segments, offering single-family homes, townhomes, and condominiums. D.R. Horton is known for its commitment to quality and innovation in residential design, often incorporating modern amenities and sustainable building practices. Additionally, the company engages in land development and home financing services, aiming to streamline the home purchasing process for its customers. Read More

News & Press Releases

Built to Last: An In-Depth Analysis of Lennar’s (LEN) Dominance in a Shifting Housing Landscape
Today’s Date: December 22, 2025 Introduction Lennar Corporation (NYSE: LEN), one of the largest homebuilders in the United States, stands at a pivotal crossroads as 2025 draws to a close. Despite a year characterized by a significant strategic spin-off and robust delivery volumes, the company’s recent fourth-quarter earnings report, released on December 16, 2025, has [...]
Via PredictStreet · December 22, 2025
Economic Resilience or Inflationary Risk? 4.3% GDP Surprise Reshapes 2026 Bond Outlook
The U.S. financial landscape underwent a seismic shift today, December 23, 2025, following a blockbuster report from the Bureau of Economic Analysis (BEA). In a surprise that caught even the most optimistic analysts off guard, the third-quarter GDP was revised to a staggering 4.3% annualized growth rate, far
Via MarketMinute · December 23, 2025
3 Industrials Stocks with Questionable Fundamentals
Industrials businesses quietly power the physical things we depend on, from cars and homes to e-commerce infrastructure. They are also bound to benefit from a friendlier regulatory environment with the Trump administration, and this excitement has led to a six-month gain of 18.4% for the sector - higher than the S&P 500’s 13.4% return.
Via StockStory · December 22, 2025
The Great Divergence: Wall Street Hits Record Highs as Main Street Grapples with 2025’s Affordability Crisis
As the clock winds down on 2025, the United States economy presents a jarring paradox that has left economists and everyday citizens at odds. On one hand, the "soft landing" long promised by the Federal Reserve appears to have been achieved, with the nation avoiding a technical recession despite a
Via MarketMinute · December 22, 2025
The Great Housing Thaw: How Stabilizing Rates and 'Megabuilder' Incentives are Reshaping the 2025 Market
As the calendar turns toward the end of 2025, the U.S. housing market is finally shaking off the "deep freeze" that paralyzed transaction volumes for nearly two years. This nascent "thaw" is being driven by a rare alignment of stabilizing mortgage rates, a series of late-year interest rate cuts
Via MarketMinute · December 22, 2025
The Tokyo Tectonic Shift: How Japan’s Rate Hikes are Redrawing the U.S. Yield Curve
As of December 19, 2025, the global financial landscape has reached a historic inflection point. The Bank of Japan (BoJ) today announced a decisive interest rate hike to 0.75%, the highest level since 1995, marking a definitive end to three decades of ultra-loose monetary policy. While the move was
Via MarketMinute · December 19, 2025
Uncover the latest developments among S&P500 stocks in today's session.chartmill.com
Wondering what's happening in today's session for the S&P500 index? Stay informed with the top movers within the S&P500 index on Friday.
Via Chartmill · December 19, 2025
The Margin Squeeze: How Volatile Commodity Prices and Rate Incentives are Redefining Profitability for Taylor Morrison
As the final weeks of 2025 unfold, the U.S. residential construction sector finds itself at a critical crossroads. After a year defined by fluctuating raw material costs and a "rebalancing" housing market, major developers are grappling with a complex equation: how to maintain profitability while offering the aggressive financial
Via MarketMinute · December 19, 2025
Friday's session: gap up and gap down stock in the S&P500 indexchartmill.com
Seeking insights into today's market movers? Discover the S&P500 gap up and gap down stocks in today's session on Friday. Stay informed about the latest market trends.
Via Chartmill · December 19, 2025
Yields Tumble as Inflation Cools: The ‘Double Beat’ That Reshaped the 2026 Outlook
The financial markets experienced a seismic shift on Thursday, December 18, 2025, as the release of the November Consumer Price Index (CPI) report sent Treasury yields into a sharp descent. Following a period of intense uncertainty fueled by a 43-day federal government shutdown—which had left investors in a "data
Via MarketMinute · December 18, 2025
Inflation Chill Sparks Wall Street Heat: Markets Surge as November CPI Undercuts Estimates
NEW YORK — In a dramatic reversal of the mid-December gloom, Wall Street erupted in a broad-based rally today as the long-awaited November Consumer Price Index (CPI) data revealed a cooling trend far more pronounced than analysts had dared to predict. The report, which arrived on the heels of a chaotic
Via MarketMinute · December 18, 2025
Cooling Prices, Warming Markets: Easing CPI Data Paves the Way for 2026 Rate Cuts
The United States economy received a significant boost on December 18, 2025, as the Bureau of Labor Statistics released a pivotal inflation report that suggests the long battle against rising prices is entering its final stages. The November Consumer Price Index (CPI) showed headline inflation slowing to 2.7% year-over-year,
Via MarketMinute · December 18, 2025
Cooling Prices, Cautious Fed: November CPI Data Sets the Stage for 2026 Pivot
WASHINGTON, D.C. — In a critical data release that has sent ripples through the global financial markets, the Bureau of Labor Statistics (BLS) reported on December 18, 2025, that inflationary pressures in the United States cooled significantly in November. The Consumer Price Index (CPI) showed a year-over-year increase of 2.
Via MarketMinute · December 18, 2025
D.R. Horton, Inc. to Release 2026 First Quarter Earnings on January 20, 2026
As previously announced, D.R. Horton, Inc. (NYSE:DHI), America’s Builder, will release financial results for its first quarter ended December 31, 2025 on Tuesday, January 20, 2026 before the market opens. The Company will host a conference call that morning at 8:30 a.m. Eastern Time (ET). The dial-in number is 888-506-0062. When calling, please reference access code 729287. Participants are encouraged to call in five minutes before the call begins (8:25 a.m. ET). The call will also be webcast from the Company’s website at investor.drhorton.com.
By D.R. Horton, Inc. · Via Business Wire · December 18, 2025
US Inflation Data Looms: A Critical Juncture for Global Stock Markets
Global stock markets are bracing for a pivotal week as crucial US inflation data, particularly the November 2025 Consumer Price Index (CPI), is set to be released. With inflation still hovering above the Federal Reserve's target despite an ongoing easing cycle, investors are keenly awaiting these figures, which are expected
Via MarketMinute · December 17, 2025
Dow Jones Soars to New Highs Amidst Economic Crosscurrents and AI Jitters
New York, NY – December 17, 2025 – The Dow Jones Industrial Average (DJIA) has concluded December 2025 with a notable ascent, marking a period of robust performance that has seen the index reach new all-time record highs. This upward momentum, however, unfolds against a complex and often contradictory economic landscape, characterized
Via MarketMinute · December 17, 2025
Lumber Market Navigates Choppy Waters Amid Softening Demand and Price Volatility
The global lumber market is currently experiencing a period of significant recalibration, characterized by softening demand and fluctuating prices, a notable shift from the unprecedented highs witnessed during the pandemic era. As of December 2025, the market grapples with an intriguing paradox: while prices have largely stabilized compared to their
Via MarketMinute · December 17, 2025
1 Safe-and-Steady Stock to Keep an Eye On and 2 That Underwhelm
A stock with low volatility can be reassuring, but it doesn’t always mean strong long-term performance. Investors who prioritize stability may miss out on higher-reward opportunities elsewhere.
Via StockStory · December 16, 2025
US Stock Market Holds Breath: Jobs Report Looms, Interest Rate Future Hangs in Balance
The United States stock market is currently navigating a period of heightened uncertainty and wavering sentiment as investors eagerly await a series of crucial economic reports, most notably the November jobs report. As of mid-December 2025, this anticipation is driving significant volatility, reflecting a delicate balance between a cooling labor
Via MarketMinute · December 15, 2025
US Stocks Edge Higher: Cautious Optimism Ahead of Pivotal Economic Data Week
As of December 15, 2025, the United States stock market is demonstrating a blend of cautious optimism and heightened anticipation, with major indices generally ticking higher. This upward momentum comes despite an impending deluge of critical economic data releases scheduled for the week, which are poised to either validate or
Via MarketMinute · December 15, 2025
Anticipation Builds: Stocks Edge Upward as Markets Brace for Mid-December Economic Barrage
The financial markets opened the week of December 15, 2025, with a palpable sense of anticipation, as major stock indices registered gains, signaling investor optimism ahead of a packed schedule of critical economic reports. This upward movement comes as traders position themselves for a deluge of data that promises to
Via MarketMinute · December 15, 2025
Central Bank Delivers Shock 50 Basis Point Rate Cut Amidst Mounting Economic Headwinds
In a decisive and unexpected move on December 15, 2025, The Central Bank announced a significant reduction in its benchmark policy rate by 50 basis points, signaling an aggressive pivot to combat burgeoning economic slowdown and disinflationary pressures. This substantial rate cut, double the conventional 25 basis point adjustment, underscores
Via MarketMinute · December 15, 2025
Navigating 2025's Economic Crosscurrents: Why Investor Vigilance on Key Indicators is Paramount Amidst Rate Adjustments and Shifting Growth
As December 12, 2025, arrives, investors find themselves at a crucial juncture, where a vigilant eye on key economic indicators is more critical than ever to successfully navigate the complex interplay of central bank policies, persistent inflation, and evolving growth dynamics. With the Federal Reserve having recently executed a series
Via MarketMinute · December 12, 2025
Gold and Treasuries Soar Amidst Market Jitters: A Deep Dive into Investor Caution
The financial markets are currently witnessing an intriguing and somewhat counter-intuitive phenomenon: a significant surge in both gold prices and U.S. Treasuries. This dual rally, particularly the simultaneous rise of gold and falling Treasury yields (indicating rising bond prices), signals a profound shift in investor sentiment, driven by a
Via MarketMinute · December 12, 2025
Federal Reserve Cuts Rates for Third Time, Market Reacts with Modest Gains Amid Economic Uncertainty
The Federal Reserve delivered its third consecutive interest rate cut on December 10, 2025, reducing its benchmark federal funds rate by 0.25 percentage points to a target range of 3.50% to 3.75%. This highly anticipated move aimed to bolster a weakening labor market and navigate persistent, albeit
Via MarketMinute · December 12, 2025