KR · The Kroger Co.
S&P 500 #289 · NYSE
Risiko 3/10 · Defensive grocer, post-merger reset · $59.19 ▲ 2.09%
Kennzahlen
- Price $59.19
- Market cap $36.3B
- P/E (ttm) 34.61
- Div yield 2.48%
- 52-wk range $54.15 – $76.58
- Index rank #289 / —
Wichtigste Risiken
- Post-Albertsons merger block: capital redeployment uncertainty (Strategy) — MED
- Amazon/Walmart grocery share gains (Comparable sales) — MED
- Egg/fuel deflation headwinds to gross margin (Near-term margins) — LOW
- Consumer trade-down to private label limits brand pricing power (Revenue) — LOW
Fazit
America's largest standalone supermarket chain trading at a low-teens P/E and 2.4% yield; failed Albertsons merger closed a chapter, and management is refocusing on digital/loyalty growth.
Recherche, keine Anlageberatung.