Garmin Ltd., CH0114405324

Garmin Ltd stock heads into the open after a 1.9% gain

Published on 09/14/2026 at 04:37 | Editorial responsibility: Rafael Müller, Editor-in-Chief AD HOC NEWS

At the close on September 11, 2026, Garmin Ltd stock finished at USD 282.38 on the NYSE, up 1.9%. Trading volume was elevated versus recent days, and the move left the shares near their 52-week high as broader US indices also advanced.

GPS-Gerät am Fahrradlenker vor alpiner Berglandschaft bei Sonnenuntergang ohne Markenzeichen
Garmin Ltd. GPS-Navigationsgerät am Fahrradlenker auf alpinem Bergpfad bei Sonnenuntergang ISIN CH0114405324, Illustration mit AI erstellt.

Garmin Ltd stock closed at USD 282.38 on the NYSE on September 11, 2026, marking a 1.9% gain from the prior session. The advance kept the shares close to their recent 52-week high, while major US indices also added ground on the day.

September 11, 2026 in numbers

Garmin Ltd (ISIN CH0114405324) ended the September 11, 2026 NYSE session at USD 282.38 after trading between an intraday low near USD 277 and a high around USD 284. Intraday volume exceeded recent averages, underscoring active participation in the move higher. In the same session, a key US benchmark index closed with a solid percent gain, providing a supportive backdrop for the stock. Per NYSE quote data, the 52-week range for Garmin Ltd shares places the September 11, 2026 close close to the upper end of that band, highlighting the stock’s recent strength.

Today’s drivers and events

Today, September 14, 2026, investors assess Garmin Ltd stock against a busy global economic calendar that includes several data releases and central-bank related events listed by SVMUU. Broader macro data and interest rate decisions can influence sentiment toward equities exposed to consumer and technology spending, providing a context for Garmin Ltd’s next moves. No specific company event for Garmin Ltd is due within the next few trading days based on recent public calendars, so today’s trading will likely be shaped mainly by sector trends and the overall risk environment ahead of the US opening bell.

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