In the latest data point for Q1'26, Coca-Cola (KO) reported an ROE of 11.67%, an ROA of 3.77%, and an ROIC of 5.55%. This represents a significant recovery across all metrics compared to the preceding Q4'25. From Q2'23 to Q1'26, the chart exhibits a distinct cyclical pattern characterized by consistent peaks in the first and second fiscal quarters followed by troughs in the fourth quarter. Despite this volatility, the overall trend is slightly positive, with the Q1'26 ROA and ROIC reaching their highest levels in the reported period. The ROE remains the most volatile metric, peaking at 13.33% in Q2'25 before rebounding from its Q4'25 low.