JBSS
John B. Sanfilippo & Son, Inc. (JBSS)
Consumer Defensive • Packaged Foods • $72.43 • MCap: 846,675,904
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https://www.jbssinc.com • John B. Sanfilippo & Son, Inc., through its subsidiary, JBSS Ventures, LLC, engages in the process and distribution of tree nuts and peanuts in the United States. The company offers raw and processed nuts, including almonds, pecans, peanuts, walnuts, cashews, macadamia nuts, pistachios, pine nuts, and filberts in various styles and seasonings; and bar product line, including chewy granola, fruit and grain, sweet and salty, dipped chewy granola, crunchy, energy, fiber, nut, fig, and protein bars. It also offers peanut butter in various sizes and varieties; salad toppings, dried fruit and chocolate, and yogurt coated products; recipe ingredients; bulk food products; sunflower kernels, pepitas, snack mixes, almond and cashew butter, candy and confections, corn snacks, chickpea snacks, sesame sticks, and other sesame snack; and various toppings for ice cream and yogurt. In addition, the company operates a retail store. The company provides its products under the Fisher, Orchard Valley Harvest, Squirrel Brand, and Southern Style Nuts brands as well as under various private brands. It serves retailers and wholesalers, and commercial ingredient and contract packaging customers through a network of independent brokers, distributors, and suppliers. John B. Sanfilippo & Son, Inc. was founded in 1922 and is headquartered in Elgin, Illinois.
Buy Decision Core
Total Score
39
Business Quality
3
Financial Strength
15
Growth Outlook
0
Momentum
3
Price Action
Current
72.43
52W High
88.51
52W Low
56.28
Above 50DMA
80.66 (-10.20%)
Above 200DMA
75.62 (-4.22%)
Relative Strength
Relative Strength
0.04
RS 3M
-0.02
RS 6M
-0.02
RS 9M
0.04
RS 12M
0.21
Fundamentals
Revenue Growth
0.04%
Earnings Growth
-0.38%
ROE
0.17%
ROA
0.08%
Valuation
PE (Fwd)
15.22
PEG
1.52
P/B
2.23
Upside
38.06%
Risk
Beta
0.32
Short %
0.07
Risk Score
9.00
Analyst
Rating
strong_buy
Target
100.00
Beta
0.32
Analysts
0
Total Score
39
Upside
38.06%
Relative Strength
0.04
Beta
0.32
Why Buy?
- Analyst upside exceeds 15%
Key Risks
- Earnings growth is negative
Score Breakdown
Business
3
3
Financial
15
15
Growth
0
0
Valuation
11
11
Risk
2
2
Momentum
3
3
Technical
52W High: 88.51
52W Low: 56.28
Above 50DMA: -10.20%
Above 200DMA: -4.22%
Valuation
Forward PE: 15.22
PEG: 1.52
P/B: 2.23
Upside: 38.06%
Risk
Beta: 0.32
Short Float: 0.07%
ROE: 0.17%
ROA: 0.08%