PFGC

Performance Food Group Company (PFGC)
Consumer Defensive • Food Distribution • $98.63 • MCap: 15,492,057,088 🌐
https://www.pfgc.com • Performance Food Group Company, through its subsidiaries, markets and distributes food and food-related products in North America. It operates through three segments: Foodservice, Convenience, and Specialty. The company offers beef, pork, poultry, seafood, frozen food, refrigerated products, and dry groceries to disposables, cleaning and kitchen supplies, and related products, as well as value-added services, such as product selection and procurement, menu development, and operational strategies to independent restaurants, chain restaurants, and other institutional food-away-from-home locations. It also provides wholesale consumer products, including cigarettes and alternative nicotine products, candy, snacks, fresh products, groceries, dairy, bread, beverages, general merchandise, and health and beauty care products to traditional convenience stores, drug stores, mass merchants, grocery stores, liquor stores, and other specialty and small format stores. In addition, the company distributes candy, snacks, beverages, fresh and frozen perishable food, and other non-food items. Performance Food Group Company was founded in 1885 and is headquartered in Richmond, Virginia.
Buy Decision Core
Total Score
49
Business Quality
1
Financial Strength
9
Growth Outlook
11
Momentum
4
Price Action
Current
98.63
52W High
116.65
52W Low
81.03
Above 50DMA
109.30 (-9.76%)
Above 200DMA
97.06 (1.62%)
Relative Strength
Relative Strength
0.03
RS 3M
0.02
RS 6M
0.13
RS 9M
0.07
RS 12M
-0.05
Fundamentals
Revenue Growth
0.07%
Earnings Growth
0.23%
ROE
0.08%
ROA
0.03%
Valuation
PE (Fwd)
14.76
PEG
0.83
P/B
3.14
Upside
25.33%
Risk
Beta
0.88
Short %
0.04
Risk Score
1.00
Analyst
Rating
buy
Target
123.62
Beta
0.88
Analysts
0


Total Score
49
Upside
25.33%
Relative Strength
0.03
Beta
0.88
Why Buy?
  • PEG Ratio below 1 (attractive valuation)
  • Trading above 200 DMA
  • Analyst upside exceeds 15%
Key Risks
  • Weak long-term relative strength
Score Breakdown
Business
1
Financial
9
Growth
11
Valuation
16
Risk
4
Momentum
4
Technical
52W High: 116.65
52W Low: 81.03
Above 50DMA: -9.76%
Above 200DMA: 1.62%
Valuation
Forward PE: 14.76
PEG: 0.83
P/B: 3.14
Upside: 25.33%
Risk
Beta: 0.88
Short Float: 0.04%
ROE: 0.08%
ROA: 0.03%