101.14
-0.18 (-0.18%)
| Previous Close | 101.32 |
| Open | 101.23 |
| Volume | 345,138 |
| Avg. Volume (3M) | 750,464 |
| Market Cap | 5,274,936,320 |
| Price / Earnings (TTM) | 18.36 |
| Price / Sales | 0.780 |
| Price / Book | 1.39 |
| 52 Weeks Range | |
| Earnings Date | 5 Feb 2026 |
| Profit Margin | 4.53% |
| Operating Margin (TTM) | 9.84% |
| Diluted EPS (TTM) | 5.64 |
| Quarterly Revenue Growth (YOY) | -2.30% |
| Quarterly Earnings Growth (YOY) | -35.60% |
| Total Debt/Equity (MRQ) | 180.85% |
| Current Ratio (MRQ) | 2.13 |
| Operating Cash Flow (TTM) | 978.80 M |
| Levered Free Cash Flow (TTM) | 613.50 M |
| Return on Assets (TTM) | 4.05% |
| Return on Equity (TTM) | 9.13% |
Market Trend
| Short Term | Medium Term | ||
| Industry | Packaged Foods (US) | Bearish | Bearish |
| Packaged Foods (Global) | Mixed | Bearish | |
| Stock | Post Holdings, Inc. | Bearish | Bearish |
AIStockmoo Score
| Analyst Consensus | 4.0 |
| Insider Activity | -2.5 |
| Price Volatility | 4.5 |
| Technical Moving Averages | -2.5 |
| Technical Oscillators | -4.0 |
| Average | -0.10 |
|
Post Holdings Inc. is a consumer packaged goods holding company with products sold through grocery, club, and drug stores, mass merchandisers, foodservice, food ingredient, and eCommerce. It operates through four reportable segments: Post Consumer Brands, focused on North American ready-to-eat cereal and granola, pet food, and nut butters; Weetabix, focused on U.K. ready-to-eat cereal, muesli, and protein-based shakes; Foodservice, focused on egg and potato products; and Refrigerated Retail, focused on side dish, egg, cheese, and sausage products. Products are sold across channels, including retailers, wholesalers, convenience stores, pet supply retailers, drug store customers, military and national restaurant chains, with revenues largely generated in the U.S. |
|
| Sector | Consumer Defensive |
| Industry | Packaged Foods |
| Investment Style | Small Core |
| % Held by Insiders | 11.39% |
| % Held by Institutions | 96.69% |
Ownership
| Name | Date | Shares Held |
|---|---|---|
| Clarkston Capital Partners, Llc | 30 Sep 2025 | 2,903,860 |
| Diamond Hill Capital Management Inc | 30 Sep 2025 | 900,101 |
| 52 Weeks Range | ||
| Price Target Range | ||
| High | 132.00 (JP Morgan, 30.51%) | Buy |
| Median | 120.00 (18.65%) | |
| Low | 108.00 (Wells Fargo, 6.78%) | Hold |
| Average | 120.40 (19.04%) | |
| Total | 4 Buy, 1 Hold | |
| Avg. Price @ Call | 100.69 | |
| Firm | Date | Target Price | Call | Price @ Call |
|---|---|---|---|---|
| Mizuho | 01 Dec 2025 | 120.00 (18.65%) | Buy | 99.95 |
| Barclays | 25 Nov 2025 | 113.00 (11.73%) | Buy | 101.02 |
| Evercore ISI Group | 24 Nov 2025 | 129.00 (27.55%) | Buy | 97.03 |
| Wells Fargo | 24 Nov 2025 | 108.00 (6.78%) | Hold | 97.03 |
| JP Morgan | 27 Oct 2025 | 132.00 (30.51%) | Buy | 108.40 |
| Name | Avg. Buy ($) | Avg. Sell ($) | Net Quantity | Net Value ($) |
|---|---|---|---|---|
| STIRITZ WILLIAM P | - | 101.50 | -180,704 | -18,390,838 |
| Aggregate Net Quantity | -180,704 | |||
| Aggregate Net Value ($) | -18,390,838 | |||
| Aggregate Avg. Buy ($) | - | |||
| Aggregate Avg. Sell ($) | 101.50 | |||
| Name | Holder | Date | Type | Quantity | Price | Value ($) |
|---|---|---|---|---|---|---|
| STIRITZ WILLIAM P | 18 Dec 2025 | Disposed (-) | 170,001 | 101.81 | 17,307,802 | |
| STIRITZ WILLIAM P | 18 Dec 2025 | Option execute | 170,001 | - | - | |
| STIRITZ WILLIAM P | 17 Dec 2025 | Disposed (-) | 10,703 | 101.19 | 1,083,037 | |
| STIRITZ WILLIAM P | 17 Dec 2025 | Option execute | 10,703 | - | - |
The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.
Portfolio
| Realized Profit | - |
| Unrealized Profit | - |
| Dividend Received 2025 | - |
| Total Profit | - |
| Avg. Return | - |
| Quantity (Buy) | - |
| Avg. Price (Buy) | - |
| Quantity (Sold) | - |
| Avg. Price (Sold) | - |