HRL
Hormel Foods Corporation (HRL)
Consumer Defensive • Packaged Foods • $21.54 • MCap: 11,854,556,160
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https://www.hormelfoods.com • Hormel Foods Corporation develops, processes, and distributes various meat, nut, and other food products to foodservice, convenience stores, and commercial customers in the United States and internationally. It operates through three segments: Retail, Foodservice, and International. The company provides perishable products, including fresh meats, frozen items, refrigerated meal solutions, bacon, sausages, hams, guacamole, and other items that require refrigeration, as well as shelf-stable products, such as canned luncheon meats, nut butters, snack nuts, chili, shelf-stable microwaveable meals, hash, stews, tortillas, salsas, tortilla chips, and other items that do not require refrigeration. It sells its products under the HORMEL, ALWAYS TENDER, APPLEGATE, AUSTIN BLUES, BACON 1, BLACK LABEL, BREAD READY, BURKE, CAFÉ H, CERATTI, CHI-CHI'S, COLUMBUS, COMPLEATS, CORN NUTS, CURE 81, DAN'S PRIZE, DI LUSSO, DINTY MOORE, DON MIGUEL, DOÑA MARIA, EMBASA, FAST N EASY, FIRE BRAISED, FONTANINI, HERDEZ, HORMEL GATHERINGS, HOUSE OF TSANG, JENNIE-O, JUSTIN'S, LA VICTORIA, LAYOUT, LLOYD'S, MARY KITCHEN, MR. PEANUT, NATURAL CHOICE, NUT-RITION, OLD SMOKEHOUSE, OVEN READY, PILLOW PACK, PLANTERS, ROSA GRANDE, SADLER'S SMOKEHOUSE, SKIPPY, SPAM, SQUARE TABLE, SPECIAL RECIPE, VALLEY FRESH, and WHOLLY brands through sales personnel, independent brokers, and distributors. The company was formerly known as Geo. A. Hormel & Company and changed its name to Hormel Foods Corporation in January 1995. Hormel Foods Corporation was founded in 1891 and is headquartered in Austin, Minnesota.
Buy Decision Core
Total Score
39
Business Quality
6
Financial Strength
11
Growth Outlook
4
Momentum
2
Price Action
Current
21.54
52W High
26.20
52W Low
19.51
Above 50DMA
24.38 (-11.64%)
Above 200DMA
23.00 (-6.37%)
Relative Strength
Relative Strength
-0.08
RS 3M
-0.08
RS 6M
-0.09
RS 9M
-0.04
RS 12M
-0.11
Fundamentals
Revenue Growth
-0.03%
Earnings Growth
-0.05%
ROE
0.04%
ROA
0.05%
Valuation
PE (Fwd)
13.87
PEG
1.53
P/B
1.51
Upside
21.29%
Risk
Beta
0.32
Short %
0.06
Risk Score
7.00
Analyst
Rating
hold
Target
26.12
Beta
0.32
Analysts
0
Total Score
39
Upside
21.29%
Relative Strength
-0.08
Beta
0.32
Why Buy?
- Analyst upside exceeds 15%
Key Risks
- Revenue growth is negative
- Earnings growth is negative
- Weak long-term relative strength
Score Breakdown
Business
6
6
Financial
11
11
Growth
4
4
Valuation
13
13
Risk
2
2
Momentum
2
2
Technical
52W High: 26.20
52W Low: 19.51
Above 50DMA: -11.64%
Above 200DMA: -6.37%
Valuation
Forward PE: 13.87
PEG: 1.53
P/B: 1.51
Upside: 21.29%
Risk
Beta: 0.32
Short Float: 0.06%
ROE: 0.04%
ROA: 0.05%