POST Post Holdings, Inc. Common Stock

NYSE · Food Products · Auf SEC EDGAR ansehen ↗
$81,18
Kurs · Aug 19, 2026
Fundamentaldaten per Aug 6, 2026

Über Post Holdings, Inc. Common Stock Unternehmensübersicht von Wikipedia

Post Holdings, Inc. is an American consumer packaged goods holding company headquartered in St. Louis, Missouri with businesses operating in the center-of-the-store, refrigerated, foodservice, and food ingredient categories. Its Post Consumer Brands business manufactures, markets, and sells both branded and private label products, mainly breakfast cereals. Its Michael Foods Group business supplies value-added egg products and refrigerated potato products to the foodservice and food ingredient channels. Through its Post Refrigerated Retail business, Post offers potato, egg, sausage, and cheese refrigerated side dishes products. Post participates in the private brand food category through its investment in 8th Avenue Food & Provisions, a leading, private brand centric, consumer products holding company.

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Post Holdings, Inc. is an American consumer packaged goods holding company headquartered in St. Louis, Missouri with businesses operating in the center-of-the-store, refrigerated, foodservice, and food ingredient categories. Its Post Consumer Brands business manufactures, markets, and sells both branded and private label products, mainly breakfast cereals. Its Michael Foods Group business supplies value-added egg products and refrigerated potato products to the foodservice and food ingredient channels. Through its Post Refrigerated Retail business, Post offers potato, egg, sausage, and cheese refrigerated side dishes products. Post participates in the private brand food category through its investment in 8th Avenue Food & Provisions, a leading, private brand centric, consumer products holding company.

History

Predecessor: Post Cereals Company

C. W. Post established his company, "Postum Cereals" in Battle Creek, Michigan, in 1895. Post's first product was not a cereal, however, but a roasted, cereal-based beverage, Postum.

Postum's main ingredients were naturally caffeine-free wheat grain, bran, and molasses. Initially, Postum had to be brewed like coffee, but in 1911, Post introduced a powdered, instant formulation. This version of the product was manufactured in Battle Creek until it was discontinued in 2007. As of January 2013, Eliza's Quest Food had succeeded in returning Postum to many grocery stores across the United States and Canada.

History of Post Holdings

On December 31, 2012, Post Holdings acquired Attune Foods, a marketer of premium organic cereals and snacks under the Attune, Uncle Sam and Erewhon brands.

On May 28, 2013, Post Holdings purchased the branded and private label cereal, granola and snacks business of Hearthside Food Solutions, which included the Golden Temple, Peace Cereal, Sweet Home Farm and Willamette Valley Granola Company brands, originally Yogi Bhajan's Sikh Dharma International's Golden Temple of Oregon's cereal division. Post combined this business with Attune Foods.

On September 1, 2013, Post Holdings acquired Premier Nutrition Company, a marketer of premium protein shakes and bars under the Premier Protein brand and nutritional supplements under the Joint Juice brand.

On January 1, 2014, Post Holdings acquired private label pasta manufacturer Dakota Growers Pasta Company.

On February 1, 2014, Post Holdings acquired Golden Boy Foods and Dymatize Enterprises. Golden Boy Foods is a manufacturer of private label peanut and other nut butters, as well as dried fruits and snacking nuts. Dymatize Enterprises is a manufacturer and marketer of premium protein powders, bars and nutritional supplements.

In August 2014, Post Holdings acquired Honey Ohs! cereal from PepsiCo.

On October 1, 2014, Post Holdings acquired PowerBar, Musashi and related worldwide assets from Nestlé.

On June 2, 2014, Post Holdings acquired Michael Foods, a producer of value-added food products and service solutions to customers across the foodservice, retail and food ingredient channels including egg products, refrigerated potato products and cheese and other dairy case products through the Papetti's, AllWhites, Better‘n Eggs, Easy Eggs, Abbotsford Farms, Simply Potatoes and Crystal Farms brands.

On November 1, 2014, Post Holdings acquired American Blanching Company, a manufacturer of private label peanut butter.

On May 4, 2015, Post Holdings purchased competitor MOM Brands, maker of the Malt-O-Meal line of cereals, for $1.15 billion ($1.05 billion cash and 2.5 million shares of Post Holdings stock).

On October 5, 2015, Post Holdings acquired Willamette Egg Farms, a producer, processor and wholesale distributor of eggs and egg products.

On July 3, 2017, Post Holdings acquired Weetabix Limited, UK based manufacturer of the Weetabix, Alpen and Ready Brek brands of breakfast cereals, from Bright Food and Baring Private Equity Asia for $1.4 billion.

On January 12, 2018, Post Holdings acquired Bob Evans Farms, a leading producer and distributor of refrigerated potato, pasta and vegetable-based side dishes, pork sausage, and a variety of refrigerated and frozen convenience food items under the Bob Evans Farms, Owens, Country Creek and Pineland Farms brands.

On August 2, 2018, Post Holdings announced it formed 8th Avenue Food & Provisions, consisting of Post's private brands business, and entered into an agreement with Thomas H. Lee Partners, L.P., a private equity company, in which Post and THL together will separately capitalize 8th Avenue.

On October 17, 2019, Post Holdings brought its active nutrition business public – the business is now named BellRing Brands, Inc., which includes brands such as Premier Protein®, Dymatize® and PowerBar® and is traded under the symbol “BRBR” on the New York Stock Exchange.

On July 1, 2020, Post acquired Henningsen Foods, a manufacturer of value-added egg, meat and poultry products. It was integrated into the Michael Foods foodservice business.

On December 8, 2020, Post announced that it was acquiring the Peter Pan peanut butter brand from Conagra Brands. The transaction was completed on January 25, 2021. With the acquisition of Peter Pan peanut butter on January 25, 2021, Post created a new group called Animated Brands, with the Peter Pan brand being the founding member. Animated Brands is managed under Post Consumer Brands by a separate management team and sales force. Animated Brands was chosen as the group name because it speaks to the intention to grow by adding other like-minded brands to this group – those that are energetic, action-oriented and have a spirit of growth aimed at driving strong business performance.

On December 14, 2020, Post announced it will acquire Almark Foods, a leading provider of hard-cooked and deviled egg products. The transaction was completed on February 1, 2021.

On February 9, 2021, Post announced that one of its subsidiaries, Post Holdings Partnering Corporation (“PHPC”), a newly formed special purpose acquisition company, filed a registration statement on Form S-1 with the Securities and Exchange Commission (“SEC”) in connection with a proposed initial public offering. The proposed offering is subject to, among other things, completion of the SEC review and comment process. Post Holdings Partnering Corporation (PHPC) closed on May 28, 2021.

On March 29, 2021, Post, through its 8th Avenue Food & Provisions subsidiary, announced that it was acquiring Ronzoni from Ebro Foods' Riviana Foods subsidiary for $95 million. The acquisition is expected to be completed in the second quarter of 2021, pending regulatory approval. The transaction was completed on June 1, 2021.

On May 28, 2021, Post acquired the Egg Beaters brand from Conagra Brands. The acquisition was completed on July 14, 2021.

On June 1, 2021, Post announced it acquired the ready-to-eat ("RTE") cereal business of TreeHouse Foods.

On March 10, 2022, Post and BellRing Brands, Inc. (NYSE:BRBR) (“New BellRing”) announced the completion of the spin-off of 80.1% of Post’s interest in New BellRing to Post shareholders.

On August 9, 2022, Post announced debt-for-equity exchange and offering of BellRing Brands Common Stock by selling stockholders.

On November 25, 2022, Post divested remainder of Post's interest in BellRing Brands.

On January 13, 2023, after receiving a cease-and-desist letter from a band named OK Go, Post Consumer Brands filed for a declaratory judgement action in federal court requesting a judge find it can use the name OK GO! for a new on-the-go cereal product.

Brands

Post Consumer Brands

9Lives

Grape-Nuts

Gravy Train

Great Grains

Honey Bunches of Oats

Honeycomb

Kibbles 'n Bits

Pebbles

Peter Pan peanut butter

Premier Protein

Raisin Bran

Shredded Wheat

Three Sisters Cereal Brands

Former MOM Brands

Malt-O-Meal

Marshmallow Mateys

Following Post Holdings' acquisition of the parent company in 2015, MOM Brands were merged with Post's existing cereal business and are now branded as Post Consumer Brands.

Weetabix brands

Alpen

Barbara's

Ready Brek

Weetabix

Weetos

UFIT High Protein Drinks

Michael Foods brands

Abbotsford Farms – Foodservice

BEF Foods

Davidson's Safest Choice – Foodservice

Michael Foods

Papetti's HyGrade Egg Products

Pineland Farm Potato Company – Foodservice

Simply Potatoes – Foodservice

Post Refrigerated Retail brands

Abbotsford Farms

Better'n Eggs

Bob Evans Farms

Country Creek Farms

Crystal Farms

Davidson's Safest Choice

Egg Beaters

Owens

Pineland Farms Potato Company

Simply Potatoes

8th Avenue Food & Provisions (private brands)

Dakota Growers Pasta Company

Golden Boy Foods

Attune Foods brands

American Blanching Company

Ronzoni Pasta

Bright Future Foods

Airly Foods

Quelle: Wikipedia (Englisch), CC BY-SA 4.0 · Auf Wikipedia ansehen ↗

Wikidata ↗

POST Aktien-Snapshot Kurs, Marktkapitalisierung, P/E, EPS, ROE, Schulden/Eigenkapital, 52-Wochen-Spanne

Kurs
$81.18
Marktkapitalisierung
$4.29B
P/E (TTM)
14.7
EPS (TTM)
$5.51
Umsatz (TTM)
$8.16B
Dividendenrendite
ROE
8.8%
Verschuldungsgrad
2.0
52W-Spanne
$75 – $117

POST Aktienkurs-Chart Täglich OHLCV mit technischen Indikatoren — Schwenken, Zoom und Ansicht anpassen

10-Jahres-Performance Umsatz-, Nettoergebnis-, Margen- und EPS-Trends

Umsatz & Nettoergebnis $8.16B
10-point trend, +62.3%
2016-09-30 2025-09-30
EPS $5.51
10-point trend, +1443.9%
2016-09-30 2025-09-30
Freier Cashflow $488M
10-point trend, +28.1%
2016-09-30 2025-09-30
Margen 4.1%
10-point trend, -6.8%
2016-09-30 2025-09-30

Bewertung P/E-, P/S-, P/B-, EV/EBITDA-Verhältnisse — ist die Aktie teuer oder günstig?

Kennzahl
5-Jahres-Trend
POST
Peer-Median
P/E (TTM)
5-point trend, -35.6%
14.7
15.8
P/S (TTM) (K/V (TTM))
5-point trend, -23.8%
0.5
1.2
P/B (K/B)
5-point trend, -8.8%
1.1
2.5
EV / EBITDA
5-point trend, -2.5%
8.7
Price / FCF (Kurs / FCF)
5-point trend, +1.1%
8.8

Rentabilität Brutto-, Betriebs- und Nettomargen; ROE, ROA, ROIC

Kennzahl
5-Jahres-Trend
POST
Peer-Median
Gross Margin (Bruttogewinnmarge)
5-point trend, -1.6%
28.7%
29.2%
Operating Margin (Betriebsgewinnmarge)
5-point trend, -6.9%
9.8%
Net Profit Margin (Nettogewinnmarge)
5-point trend, +53.4%
4.1%
6.1%
ROA
5-point trend, +86.8%
2.5%
6.3%
ROE
5-point trend, +47.0%
8.8%
12.5%
ROIC
5-point trend, +8.4%
5.4%

Finanzielle Gesundheit Verschuldung, Liquidität, Solvenz — Bilanzstärke

Kennzahl
5-Jahres-Trend
POST
Peer-Median
Debt / Equity (Fremdkapital / Eigenkapital)
5-point trend, -23.0%
2.0
0.0
Current Ratio (Liquiditätsgrad)
5-point trend, -16.0%
1.7
2.0
Quick Ratio
5-point trend, -42.5%
0.8

Wachstum Umsatz-, EPS- und Nettoergebniswachstum: YoY, 3-Jahres-CAGR, 5-Jahres-CAGR

Kennzahl
5-Jahres-Trend
POST
Peer-Median
Revenue YoY (Umsatz YoY)
5-point trend, +63.8%
3.0%
Revenue CAGR 3Y (Umsatz CAGR 3J)
5-point trend, +63.8%
11.7%
Revenue CAGR 5Y (Umsatz CAGR 5J)
5-point trend, +63.8%
11.6%
EPS YoY (EPS VjV)
5-point trend, +131.5%
-2.3%
Net Income YoY (Nettogewinn YoY)
5-point trend, +101.4%
-8.5%

Kennzahlen pro Aktie EPS, Buchwert pro Aktie, Cashflow pro Aktie, Dividende pro Aktie

Kennzahl
5-Jahres-Trend
POST
Peer-Median
EPS (Diluted) (EPS (Verwässert))
5-point trend, +131.5%
$5.51

Kapitaleffizienz Umsatz pro Vermögenswert, Lagerumschlag, Forderungsumschlag

Kennzahl
5-Jahres-Trend
POST
Peer-Median

POST Analysten-Konsens Bullische und bärische Analystenmeinungen, 12-Monats-Kursziel, Aufwärtspotenzial

KAUF 14 Analysten
  • Starker Kauf 4 28,6%
  • Kauf 7 50,0%
  • Halten 3 21,4%
  • Verkauf 0 0,0%
  • Starker Verkauf 0 0,0%

12-Monats-Kursziel

6 Analysten · 2026-08-18
Median-Ziel $102.00 +25,6%
Mittelwert-Ziel $105.17 +29,5%

Ergebnisverlauf EPS Ist vs. Schätzung, Überraschung %, Beat-Rate, nächstes Ergebnisdatum

Durchschn. Überraschung
0.22%
Zeitraum EPS Actual EPS est. Überraschung
30. Juni 2026 $1.78 $1.74 0.04%
31. März 2026 $1.94 $1.76 0.18%
31. Dezember 2025 $2.13 $1.73 0.40%
30. September 2025 $2.09 $1.91 0.18%
30. Juni 2025 $2.03 $1.68 0.35%
31. März 2025 $1.41 $1.23 0.18%

Peer-Vergleich (GICS-Subbranche) Wichtige Kennzahlen im Vergleich zu Branchenkollegen

Ticker Marktkapitalisierung P/E Umsatz Vj. Nettomarge ROE Bruttogewinnmarge
POST $5.67B 19.5 3.0% 4.1% 8.8% 28.7%
PPC $9.46B 8.8 3.5% 5.9% 27.3% 12.8%
LW $5.94B 20.8 2.5% 4.4% 16.2% 20.6%
CPB 16.1 6.4% 5.9% 15.6%
CALM 11.3 -31.7% 10.9% 12.2% 23.1%
FRPT $2.98B 23.1 13.0% 12.6% 12.2% 40.8%
MZTI $4.76B 28.5 2.0% 8.8% 16.9% 23.9%
TR $1.49B 1.3% 13.7% 11.1% 35.3%
UTZ 1046.0 2.1% 0.06% 0.11% 24.9%
JJSF $1.86B 28.5 0.54% 4.1% 6.9% 29.7%

Vollständige Fundamentaldaten Alle Kennzahlen nach Jahr — Gewinn- und Verlustrechnung, Bilanz, Cashflow

Gewinn- und Verlustrechnung 16
Jährliche Gewinn- und Verlustrechnung-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue 12-point trend, +238.4% $8.16B $7.92B $6.99B $5.85B $4.98B $4.71B $5.68B $6.26B $5.23B $5.03B $4.65B $2.41B
Cost of Revenue 12-point trend, +225.1% $5.82B $5.62B $5.11B $4.38B $3.55B $3.26B $3.89B $4.40B $3.65B $3.48B $3.47B $1.79B
Gross Profit 12-point trend, +276.6% $2.34B $2.30B $1.88B $1.47B $1.43B $1.45B $1.79B $1.85B $1.57B $1.55B $1.17B $621M
R&D Expense 12-point trend, +212.7% $32M $29M $23M $19M $22M $19M $25M $25M $19M $16M $17M $10M
SG&A Expense 12-point trend, +184.8% $1.31B $1.33B $1.08B $905M $807M $782M $912M $976M $868M $840M $734M $460M
Operating Income 12-point trend, +484.8% $799M $794M $599M $416M $488M $536M $781M $574M $517M $546M $213M $-208M
Interest Expense 12-point trend, +96.7% $361M $316M $279M $318M $333M $334M $322M $387M $315M $306M $258M $184M
Other Non-op 12-point trend, +114.1% $5M $13M $13M $20M $29M $12M $-307M $96M $92M $-183M $-92M $-36M
Pretax Income 12-point trend, +204.0% $444M $472M $413M $895M $214M $-46M $159M $265M $74M $-30M $-167M $-427M
Income Tax 12-point trend, +229.9% $109M $105M $100M $86M $58M $-21M $-4M $-204M $26M $-27M $-52M $-84M
Net Income 12-point trend, +197.8% $336M $367M $301M $757M $167M $800.0K $125M $467M $48M $-3M $-115M $-343M
EPS (Basic) 12-point trend, +166.2% $5.98 $6.12 $5.21 $12.42 $2.42 $0.01 $1.72 $6.87 $0.51 $-0.41 $-2.33 $-9.03
EPS (Diluted) 12-point trend, +161.0% $5.51 $5.64 $4.82 $12.09 $2.38 $0.01 $1.66 $6.16 $0.50 $-0.41 $-2.33 $-9.03
Shares (Basic) 12-point trend, +41.3% 56,100,000 59,900,000 60,000,000 60,900,000 64,200,000 68,900,000 70,800,000 66,600,000 67,800,000 68,800,000 56,700,000 39,700,000
Shares (Diluted) 12-point trend, +58.4% 62,900,000 66,900,000 67,000,000 62,700,000 65,300,000 68,900,000 75,100,000 75,900,000 69,900,000 68,800,000 56,700,000 39,700,000
EBITDA 12-point trend, +2650.3% $1.32B $1.27B $1.01B $796M $1.08B $1.07B $1.16B $986M $843M $848M $486M $-52M
Bilanz 28
Jährliche Bilanz-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Cash & Equivalents 12-point trend, -34.2% $177M $787M $93M $586M $664M $1.19B $1.05B $990M $1.53B $1.14B $841M $268M
Receivables 12-point trend, +77.8% $735M $583M $512M $544M $452M $442M $445M $462M $481M $385M $366M $414M
Inventory 12-point trend, +129.8% $875M $754M $790M $549M $477M $599M $580M $484M $574M $503M $465M $381M
Prepaid Expense 12-point trend, +159.9% $115M $104M $59M $98M $100M $53M $47M $64M $32M $37M $33M $44M
Current Assets 12-point trend, +66.1% $2.02B $2.23B $1.48B $2.22B $2.09B $2.29B $2.13B $2.20B $2.62B $2.08B $1.77B $1.22B
PP&E (Net) 12-point trend, +224.4% $2.70B $2.31B $2.02B $1.75B $1.83B $1.78B $1.74B $1.71B $1.69B $1.35B $1.33B $832M
PP&E (Gross) 12-point trend, +342.0% $4.96B $4.34B $3.77B $3.27B $3.22B $2.98B $2.74B $2.54B $2.39B $1.90B $1.74B $1.12B
Accum. Depreciation 12-point trend, +680.6% $2.26B $2.02B $1.75B $1.52B $1.39B $1.20B $1.00B $833M $703M $546M $404M $289M
Goodwill 12-point trend, +67.8% $4.84B $4.70B $4.57B $4.35B $4.50B $4.44B $4.40B $4.50B $4.03B $3.08B $3.07B $2.89B
Intangibles 12-point trend, +14.1% $3.01B $3.15B $3.21B $2.71B $2.92B $3.20B $3.34B $3.54B $3.35B $2.83B $2.97B $2.64B
Other Non-current Assets 12-point trend, +246.0% $521M $464M $360M $271M $348M $329M $206M $247M $184M $16M $16M $150M
Total Assets 12-point trend, +76.4% $13.53B $12.85B $11.65B $11.31B $12.41B $12.15B $11.95B $13.06B $11.88B $9.36B $9.16B $7.67B
Accounts Payable 12-point trend, +177.3% $624M $484M $369M $453M $384M $368M $396M $365M $336M $264M $265M $225M
Current Liabilities 12-point trend, +133.3% $1.21B $945M $805M $824M $1.05B $974M $803M $792M $704M $634M $611M $520M
Capital Leases 7-point trend, +233300000.00 $233M $207M $170M $114M $105M $103M $0 · · · · ·
Deferred Tax 12-point trend, -30.2% $638M $653M $674M $688M $729M $784M $688M $778M $906M $726M $832M $915M
Other Non-current Liabilities 12-point trend, +103.7% $372M $343M $277M $267M $508M $600M $457M $499M $328M $440M $290M $182M
Total Liabilities 12-point trend, +79.2% $9.76B $8.75B $7.80B $7.74B $9.36B $9.32B $9.01B $10.00B $9.09B $6.35B $6.19B $5.45B
Long-term Debt 12-point trend, +93.8% $7.42B $6.81B $6.04B $5.96B $6.44B $7.02B $7.08B $7.25B $7.17B $4.60B $4.45B $3.83B
Total Debt 12-point trend, +92.5% $7.42B $6.81B $6.04B $5.96B $7.04B $7.02B $7.08B $7.25B $7.17B $4.56B $4.53B $3.86B
Common Stock 12-point trend, +80.0% $900.0K $900.0K $900.0K $900.0K $900.0K $800.0K $800.0K $800.0K $700.0K $700.0K $600.0K $500.0K
Paid-in Capital 12-point trend, +101.2% $5.37B $5.33B $5.29B $4.75B $4.25B $4.18B $3.73B $3.59B $3.57B $3.55B $3.54B $2.67B
Retained Earnings 12-point trend, +793.1% $2.12B $1.78B $1.42B $1.11B $347M $209M $208M $88M $-376M $-424M $-421M $-306M
Treasury Stock 12-point trend, +6915.2% $3.75B $3.03B $2.73B $2.34B $1.90B $1.51B $921M $590M $371M $53M $53M $53M
AOCI 12-point trend, +131.5% $9M $6M $-135M $-263M $43M $-29M $-97M $-39M $-40M $-60M $-89M $-28M
Stockholders' Equity 12-point trend, +64.4% $3.75B $4.09B $3.84B $3.25B $2.74B $2.85B $2.93B $3.05B $2.78B $3.01B $2.98B $2.28B
Liabilities + Equity 12-point trend, +75.0% $13.53B $12.85B $11.65B $11.31B $12.41B $12.15B $11.95B $13.06B $11.88B $9.36B $9.16B $7.73B
Shares Outstanding 12-point trend, +17.9% 52,800,000 58,400,000 60,400,000 58,700,000 63,100,000 66,400,000 72,100,000 66,700,000 66,100,000 64,900,000 62,100,000 44,800,000
Cashflow 19
Jährliche Cashflow-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
D&A 12-point trend, +236.5% $524M $477M $407M $380M $366M $345M $380M $398M $323M $303M $273M $156M
Stock-based Comp 12-point trend, +462.8% $82M $84M $77M $66M $49M $43M $39M $31M $24M $17M $23M $14M
Deferred Tax 12-point trend, +105.3% $5M $-36M $-23M $-10M $68M $-44M $-80M $-256M $17M $-75M $-120M $-88M
Amort. of Intangibles 12-point trend, +183.6% $201M $185M $161M $146M $143M $138M $161M $177M $159M $153M $142M $71M
Restructuring 9-point trend, +4.4% $10M $7M · · $5M · $10M $5M $0 $2M $15M $9M
Other Non-cash 12-point trend, -88.3% $52M $39M $-12M $-810M $-114M $248M $225M $79M $-26M $260M $392M $444M
Operating Cash Flow 12-point trend, +445.2% $998M $932M $750M $383M $588M $626M $688M $719M $387M $502M $452M $183M
CapEx 12-point trend, +341.7% $510M $430M $303M $255M $191M $232M $274M $225M $190M $122M $108M $116M
Investing Cash Flow 12-point trend, +62.6% $-1.42B $-678M $-669M $-221M $-794M $-218M $27M $-1.68B $-2.10B $-196M $-1.25B $-3.79B
Debt Issued 5-point trend, +0.00 · · · · · · $0 $0 $41M $0 $0 ·
Net Debt Issued 12-point trend, -7524.6% $-526M $-2.04B $-307M $-1.56B $-1.81B $-4.35B $-919M $-912M $-2.05B $-1.63B $-1.23B $-7M
Stock Issued 4-point trend, -100.0% · · · · · · · · $0 $0 $733M $593M
Stock Repurchased 9-point trend, +443000000.00 · · · $443M $397M $589M $322M $219M $318M $0 $0 $0
Net Stock Activity 9-point trend, -174.7% · · · $-443M $-397M $-589M $-322M $-219M $-318M $0 $733M $593M
Dividends Paid 3-point trend, +0.0% · · · · · · · · · $14M $17M $14M
Financing Cash Flow 12-point trend, -105.4% $-189M $416M $-556M $-387M $-168M $-272M $-652M $423M $2.05B $-4M $1.37B $3.48B
Net Change in Cash 12-point trend, -355.2% $-608M $674M $-473M $-234M $-369M $139M $60M $-536M $382M $302M $573M $-134M
Free Cash Flow 12-point trend, +622.0% $488M $502M $447M $127M $396M $391M $414M $494M $196M $381M $344M $68M
Levered FCF 12-point trend, +368.7% $215M $256M $236M $-160M $116M $24M $84M $-191M $-8M $347M $146M $-80M
Rentabilität 8
Jährliche Rentabilität-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Gross Margin 12-point trend, +11.3% 28.7% 29.1% 26.9% 25.1% 29.1% 31.4% 31.5% 29.8% 30.1% 30.8% 25.3% 25.8%
Operating Margin 12-point trend, +213.8% 9.8% 10.0% 8.6% 7.1% 10.5% 12.3% 13.8% 9.4% 10.0% 10.9% 4.6% -8.6%
Net Margin 12-point trend, +128.9% 4.1% 4.6% 4.3% 12.9% 2.7% 0.01% 2.2% 7.5% 0.92% -0.07% -2.5% -14.2%
Pretax Margin 12-point trend, +130.7% 5.4% 6.0% 5.9% 15.3% 5.4% 1.1% 2.8% 4.2% 1.4% -0.60% -3.6% -17.7%
EBITDA Margin 12-point trend, +854.4% 16.2% 16.0% 14.4% 13.6% 17.3% 18.8% 20.4% 15.8% 16.1% 16.9% 10.4% -2.1%
ROA 12-point trend, +141.4% 2.5% 3.0% 2.6% 6.4% 1.4% 0.01% 1.0% 3.8% 0.45% -0.04% -1.4% -6.1%
ROE 12-point trend, +148.4% 8.8% 9.1% 7.7% 22.8% 6.0% 0.03% 4.1% 15.3% 1.7% -0.11% -4.4% -18.1%
ROIC 12-point trend, +298.5% 5.4% 5.7% 4.6% 4.1% 5.0% 6.7% 8.0% 10.1% 3.4% 0.79% 1.9% -2.7%
Liquidität & Solvenz 5
Jährliche Liquidität & Solvenz-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Current Ratio 12-point trend, -28.8% 1.7 2.4 1.8 2.7 2.0 2.3 2.6 2.8 3.7 3.3 2.9 2.3
Quick Ratio 12-point trend, -42.7% 0.8 1.5 0.8 1.4 1.3 1.7 1.9 1.8 2.8 2.4 2.0 1.3
Debt / Equity 12-point trend, +17.1% 2.0 1.7 1.6 1.8 2.6 2.5 2.4 2.4 2.6 1.5 1.5 1.7
LT Debt / Equity 12-point trend, +17.9% 2.0 1.7 1.6 1.8 2.5 2.4 2.4 2.4 2.6 1.5 1.5 1.7
Interest Coverage 12-point trend, +295.6% 2.2 2.5 2.1 1.3 1.7 1.8 2.4 1.5 1.7 1.8 0.7 -1.1
Effizienz 3
Jährliche Effizienz-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Asset Turnover 12-point trend, +43.7% 0.6 0.6 0.6 0.5 0.5 0.5 0.5 0.5 0.5 0.5 0.6 0.4
Inventory Turnover 12-point trend, +0.3% 7.1 7.3 7.6 8.5 7.4 6.6 7.3 8.3 6.8 7.2 8.2 7.1
Receivables Turnover 12-point trend, +27.5% 12.4 14.5 13.2 11.7 12.5 12.9 12.5 13.3 12.1 13.4 11.9 9.7
Pro Aktie 6
Jährliche Pro Aktie-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Book Value / Share 11-point trend, +48.3% $71.08 $70.04 $63.61 $55.43 $43.46 $42.99 $40.58 $45.73 $42.06 $46.36 $47.92 ·
Revenue / Share 12-point trend, +113.6% $129.70 $118.43 $104.34 $93.32 $95.36 $81.29 $75.65 $82.44 $74.76 $73.06 $81.98 $60.73
Cash Flow / Share 12-point trend, +244.1% $15.87 $13.93 $11.20 $6.10 $9.01 $8.92 $9.16 $9.48 $5.53 $7.30 $7.96 $4.61
Cash / Share 11-point trend, -75.3% $3.35 $13.48 $1.54 $9.99 $12.95 $17.89 $14.57 $14.84 $23.08 $17.62 $13.55 ·
Dividend Paid / Share · · · $3 · · · · · · · ·
EPS (TTM) 12-point trend, +161.0% $5.51 $5.64 $4.82 $12.09 $2.38 $0.01 $1.66 $6.16 $0.50 $-0.41 $-2.33 $-9.03
Wachstumsraten 9
Jährliche Wachstumsraten-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue YoY 5-point trend, -48.1% 3.0% 13.3% 19.5% 17.5% 5.7% · · · · · · ·
Revenue CAGR 3Y 3-point trend, -16.6% 11.7% 16.7% 14.1% · · · · · · · · ·
Revenue CAGR 5Y 11.6% · · · · · · · · · · ·
EPS YoY 5-point trend, -100.0% -2.3% 17.0% -60.1% 408.0% 23700.0% · · · · · · ·
EPS CAGR 3Y 3-point trend, -103.4% -23.0% 33.3% 684.1% · · · · · · · · ·
EPS CAGR 5Y 253.4% · · · · · · · · · · ·
Net Income YoY 5-point trend, -100.0% -8.5% 21.7% -60.2% 353.9% 20737.5% · · · · · · ·
Net Income CAGR 3Y 3-point trend, -103.8% -23.7% 30.0% 622.2% · · · · · · · · ·
Net Income CAGR 5Y 234.6% · · · · · · · · · · ·
Bewertung (TTM) 16
Jährliche Bewertung (TTM)-Daten für POST
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue TTM 12-point trend, +238.4% $8.16B $7.92B $6.99B $5.85B $4.98B $4.71B $5.68B $6.26B $5.23B $5.03B $4.65B $2.41B
Net Income TTM 12-point trend, +197.8% $336M $367M $301M $757M $167M $800.0K $125M $467M $48M $-3M $-115M $-343M
Market Cap 11-point trend, +136.3% $5.67B $6.76B $5.18B $4.81B $4.55B $3.74B $4.99B $4.28B $3.82B $3.28B $2.40B ·
Enterprise Value 11-point trend, +112.2% $12.92B $12.79B $11.13B $10.18B $10.77B $9.57B $11.02B $10.54B $9.46B $6.70B $6.09B ·
P/E 12-point trend, +911.2% 19.5 20.5 17.8 6.8 30.3 5628.3 41.7 10.4 115.5 -123.2 -16.6 -2.4
P/S 11-point trend, +34.6% 0.7 0.9 0.7 0.8 0.9 0.8 0.9 0.7 0.7 0.7 0.5 ·
P/B 11-point trend, +87.3% 1.5 1.7 1.3 1.5 1.7 1.3 1.7 1.4 1.4 1.1 0.8 ·
P / Cash Flow 11-point trend, +6.9% 5.7 7.3 6.9 12.6 7.7 6.0 7.3 5.9 9.9 6.5 5.3 ·
P / FCF 11-point trend, +66.4% 11.6 13.5 11.6 37.8 11.5 9.6 12.1 8.7 19.5 8.6 7.0 ·
EV / EBITDA 11-point trend, -22.1% 9.8 10.1 11.1 12.8 10.0 8.9 9.5 10.7 11.2 7.9 12.5 ·
EV / FCF 11-point trend, +49.5% 26.5 25.5 24.9 80.0 27.2 24.5 26.6 21.3 48.2 17.6 17.7 ·
EV / Revenue 11-point trend, +20.9% 1.6 1.6 1.6 1.7 2.2 2.0 1.9 1.7 1.8 1.3 1.3 ·
Dividend Yield 2-point trend, -38.0% · · · · · · · · · 0.44% 0.71% ·
Earnings Yield 12-point trend, +112.3% 5.1% 4.9% 5.6% 14.8% 3.3% 0.02% 2.4% 9.6% 0.87% -0.81% -6.0% -41.6%
Payout Ratio · · · · · · · · · -436.4% · ·
Annual Payout 3-point trend, +0.0% · · · · · · · · · $14M $17M $14M

Finanzberichte Gewinn- und Verlustrechnung, Bilanz, Cashflow — jährlich, letzte 5 Jahre

Gewinn- und Verlustrechnung
2025-09-302024-09-302023-09-302022-09-302021-09-30
Umsatz $8.16B$7.92B$6.99B$5.85B$4.98B
Bruttogewinnmarge % 28.7%29.1%26.9%25.1%29.1%
Betriebsgewinnmarge % 9.8%10.0%8.6%7.1%10.5%
Nettoergebnis $336M$367M$301M$757M$167M
Verwässerte EPS $5.51$5.64$4.82$12.09$2.38
Bilanz
2025-09-302024-09-302023-09-302022-09-302021-09-30
Fremdkapital / Eigenkapital 2.01.71.61.82.6
Liquiditätsgrad 1.72.41.82.72.0
Quick Ratio 0.81.50.81.41.3
Cashflow
2025-09-302024-09-302023-09-302022-09-302021-09-30
Freier Cashflow $488M$502M$447M$127M$396M

Neueste Nachrichten Aktuelle Schlagzeilen über dieses Unternehmen

Handelssignale Aktuelle Kauf-/Verkaufssignale mit Einstiegspreis und Risiko-Ertrags-Verhältnis

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Institutionelle Eigentümer (13F) 447 Einreicher · $2.9B gesamt · Stand 30. Juni 2026

Institutionen, die diese Aktie in ihrer vierteljährlichen SEC-Formular 13F melden. Nur Long-Positionen; ein einzelner Einreicher kann für separate Optionsscheine zweimal erscheinen. Große gegenläufige Put/Call-Positionen spiegeln typischerweise Market-Making oder abgesicherte Bestände wider, nicht die gerichtete Überzeugung.

Institutionelle Aktivität — Q2 2026 vs. Vorquartal
Neue Positionen Geschlossene Positionen Erhöht Abgenommen Nettoveränderung der Aktien
71 (-11 vs. Vorquartal) 70 (+29 vs. Vorquartal) 109 (-18 vs. Vorquartal) 162 (+11 vs. Vorquartal) -683K

Verglichen mit Q1 2026. SEC-Formular 13F-Einreichungen sind innerhalb von 45 Tagen nach Quartalsende fällig, zuzüglich einer kurzen Pufferzeit für verspätete Einreicher — Quartale, die noch in diesem Fenster liegen, werden zugunsten des letzten vollständig berichteten Paares übersprungen.

Institution Wert Aktien % der verfolgten 13F Typ
DIMENSIONAL FUND ADVISORS LP $267.051.989 3.025.742 9,16% Aktien
Route One Investment Company, L.P. $260.417.132 2.950.568 8,93% Aktien
VANGUARD PORTFOLIO MANAGEMENT LLC $192.023.575 2.175.658 6,58% Aktien
VANGUARD CAPITAL MANAGEMENT LLC $157.501.470 1.784.517 5,40% Aktien
LONDON CO OF VIRGINIA $123.482.273 1.399.101 4,23% Aktien
STATE STREET CORP $119.033.702 1.348.671 4,08% Aktien
NORGES BANK $115.570.733 1.309.435 3,96% Aktien
Holocene Advisors, LP $110.066.663 1.247.073 3,77% Aktien
Clarkston Capital Partners, LLC $106.434.058 1.205.915 3,65% Aktien
MANUFACTURERS LIFE INSURANCE COMPANY, THE $101.937.034 1.154.963 3,50% Aktien
CITADEL ADVISORS LLC $84.358.202 955.792 2,89% Aktien
TWO SIGMA ADVISERS, LP $77.815.166 785.615 2,67% Aktien
TWO SIGMA INVESTMENTS, LP $56.457.362 639.671 1,94% Aktien
Diamond Hill Capital Management, LLC (Investment Advisor) $54.599.225 618.618 1,87% Aktien
Junto Capital Management LP $52.025.475 589.457 1,78% Aktien
GEODE CAPITAL MANAGEMENT, LLC $51.925.928 588.140 1,78% Aktien
Fisher Asset Management, LLC $42.490.958 481.429 1,46% Aktien
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $40.168.715 455.118 1,38% Aktien
FMR LLC $32.192.217 364.743 1,10% Aktien
PYA Waltman Capital, LLC $29.976.850 339.643 1,03% Aktien
Quantinno Capital Management LP $26.068.032 295.355 0,89% Aktien
MILLENNIUM MANAGEMENT LLC $25.063.104 283.969 0,86% Aktien
VICTORY CAPITAL MANAGEMENT INC $24.119.516 273.278 0,83% Aktien
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP $22.789.173 258.205 0,78% Aktien
VANGUARD FIDUCIARY TRUST CO $22.203.921 251.574 0,76% Aktien
Balyasny Asset Management L.P. $21.401.550 242.483 0,73% Aktien
BlackRock, Inc. $20.424.953 231.418 0,70% Aktien
EULAV Asset Management $20.390.267 231.025 0,70% Aktien
RAYMOND JAMES FINANCIAL INC $20.086.299 227.581 0,69% Aktien
GAMCO INVESTORS, INC. ET AL $19.961.411 226.166 0,68% Aktien
LOOMIS SAYLES & CO L P $19.682.884 223.010 0,67% Aktien
H Squared Management LP $19.098.317 216.387 0,65% Aktien
BRAUN STACEY ASSOCIATES INC $18.418.538 208.685 0,63% Aktien
IRIDIAN ASSET MANAGEMENT LLC/CT $18.083.856 204.893 0,62% Aktien
BNP PARIBAS FINANCIAL MARKETS $17.215.025 195.049 0,59% Aktien
JONES FINANCIAL COMPANIES LLLP $16.628.382 185.979 0,57% Aktien
Wallace Capital Management Inc. $16.463.138 186.530 0,56% Aktien
GABELLI FUNDS LLC $16.046.551 181.810 0,55% Aktien
Gotham Asset Management, LLC $15.517.697 175.818 0,53% Aktien
GOLDMAN SACHS GROUP INC $15.259.624 172.894 0,52% Aktien
DEUTSCHE BANK AG\ $14.336.690 162.437 0,49% Aktien
ExodusPoint Capital Management, LP $13.242.266 150.037 0,45% Aktien
ENVESTNET ASSET MANAGEMENT INC $13.047.277 147.828 0,45% Aktien
BANK OF AMERICA CORP /DE/ $12.612.090 142.897 0,43% Aktien
D. E. Shaw & Co., Inc. $11.358.003 128.688 0,39% Aktien
KENNEDY CAPITAL MANAGEMENT LLC $11.352.499 128.626 0,39% Aktien
FRANKLIN RESOURCES INC $10.746.891 121.764 0,37% Aktien
RHUMBLINE ADVISERS $9.863.441 111.755 0,34% Aktien
Soapstone Management L.P. $9.598.275 108.750 0,33% Aktien
Cambria Investment Management, L.P. $9.093.869 103.035 0,31% Aktien
PRUDENTIAL FINANCIAL INC $9.023.261 102.235 0,31% Aktien
SEI INVESTMENTS CO $8.601.030 97.451 0,29% Aktien
HSBC HOLDINGS PLC $8.558.573 96.981 0,29% Aktien
PRINCIPAL FINANCIAL GROUP INC $7.954.521 90.126 0,27% Aktien
Swiss National Bank $7.219.668 81.800 0,25% Aktien
CAPITAL FUND MANAGEMENT S.A. $7.016.846 79.502 0,24% Aktien
TUDOR INVESTMENT CORP ET AL $6.982.337 79.111 0,24% Aktien
Cohen Capital Management, Inc. $6.787.900 76.908 0,23% Aktien
Carnegie Investment Counsel $6.777.044 76.785 0,23% Aktien
Bridgewater Associates, LP $6.423.475 72.779 0,22% Aktien
XTX Topco Ltd $6.372.107 72.197 0,22% Aktien
COMMERCE BANK $6.350.837 71.956 0,22% Aktien
California Public Employees Retirement System $5.938.133 67.280 0,20% Aktien
AMERICAN CENTURY COMPANIES INC $5.645.992 63.970 0,19% Aktien
LGT Fund Management Co Ltd. $5.455.527 61.812 0,19% Aktien
WELLINGTON MANAGEMENT GROUP LLP $5.389.509 61.064 0,18% Aktien
Artemis Investment Management LLP $5.243.527 59.410 0,18% Aktien
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM $5.037.510 50.956 0,17% Aktien
Ilex Capital Partners (UK) LLP $4.901.166 55.531 0,17% Aktien
ONTARIO TEACHERS PENSION PLAN BOARD $4.677.780 53.000 0,16% Verkaufsoption
Moran Wealth Management, LLC $4.466.221 50.603 0,15% Aktien
Man Group plc $4.462.779 50.564 0,15% Aktien
ALLIANCEBERNSTEIN L.P. $4.395.414 44.461 0,15% Aktien
Vanguard Global Advisers, LLC $4.102.501 46.482 0,14% Aktien
Campbell & CO Investment Adviser LLC $3.953.960 44.799 0,14% Aktien
VANGUARD GROUP INC $3.808.968 38.455 0,13% Aktien
Qube Research & Technologies Ltd $3.706.743 41.998 0,13% Aktien
Retirement Systems of Alabama $3.640.902 41.252 0,12% Aktien
Trexquant Investment LP $3.617.424 40.986 0,12% Aktien
Edgestream Partners, L.P. $3.542.580 40.138 0,12% Aktien
LPL Financial LLC $3.532.059 40.019 0,12% Aktien
VANGUARD ASSET MANAGEMENT, Ltd $3.459.262 39.194 0,12% Aktien
Corient Private Wealth LP $3.130.055 35.464 0,11% Aktien
CLIFFORD SWAN INVESTMENT COUNSEL LLC $3.122.592 31.586 0,11% Aktien
AMERIPRISE FINANCIAL INC $3.110.812 35.246 0,11% Aktien
BROWN BROTHERS HARRIMAN & CO $3.058.209 34.650 0,10% Aktien
STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM $2.764.127 31.318 0,09% Aktien
CIBC Private Wealth Group LLC $2.742.460 25.516 0,09% Aktien
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC $2.712.521 27.438 0,09% Aktien
Plancorp, LLC $2.634.119 30.382 0,09% Aktien
US BANCORP \DE\ $2.536.945 28.744 0,09% Aktien
Cetera Investment Advisers $2.518.058 28.530 0,09% Aktien
MORGAN STANLEY $2.500.582 28.332 0,09% Aktien
WINTON GROUP Ltd $2.479.488 28.093 0,09% Aktien
Orion Portfolio Solutions, LLC $2.350.705 20.202 0,08% Aktien
BARCLAYS PLC $2.177.285 24.669 0,07% Aktien
Legal & General Group Plc $2.065.284 23.400 0,07% Aktien
JANUS HENDERSON GROUP PLC $1.980.179 20.019 0,07% Aktien
Nuveen Asset Management, LLC $1.935.633 16.911 0,07% Aktien
Walleye Capital LLC $1.918.066 21.732 0,07% Aktien

Unternehmensinsider 10 Insider · 0 Führungskräfte · 8 Direktoren

Insider Rolle Letzte Aktivität Gehaltene Aktien Käufe 12m Verkäufe 12m Netto 12m
Michelle Marie Atkinson Direktor 31. Juli 2026 A 0 0 $0
Thomas C Erb Direktor 31. Juli 2026 A 0 0 $0
Dorothy M Burwell Direktor 31. Juli 2026 A 0 0 $0
Jennifer Kuperman Johnson Direktor 31. Juli 2026 A 0 0 $0
Jeff A Zadoks Direktor 31. Juli 2026 A 28.015 0 0 $0
Gregory L Curl Direktor 31. Juli 2026 A 15.107 0 2 $-1.448.066
David P Skarie Direktor 31. Juli 2026 A 56.991 0 0 $0
David W Kemper Direktor 31. Juli 2026 A 0 0 $0
RALCORP HOLDINGS INC /MO 10%-Eigentümer 28. September 2012 J 1.325.985 0 0 $0
William P Stiritz 18. Dezember 2025 M 4.334.667 1 0 $3.943.080

Insider aus SEC-Einreichungen Form 3/4/5; Netto = nur P/S aus offenen Märkten

Aktivisten & 5%+-Eigentümer 2 Beteiligungen

Investoren mit SEC Schedule 13D — wirtschaftliches Eigentum über 5% mit der Absicht, Einfluss auf den Emittenten zu nehmen (aktivistische Beteiligungen, Board-Kampagnen, M&A). Jede Zeile zeigt den zuletzt bekannten Stand der Position dieses Melders.

Anmelder Eingereicht Beteiligung Status Zweck Einreichung
William P. Stiritz ×5 Einreichungen 5. März 2026 10,30% Änderung SEC
Gabelli Funds, LLC I.D. No., GAMCO Asset Management Inc. I.D. No., MJG Associates, Inc. I.D. No., MJG-IV Limited Partnership I.D. No., GGCP, Inc. I.D. No., GAMCO Investors, Inc. I.D. No., Mario J. Gabelli ×2 Einreichungen 10. Februar 2015 Erste Einreichung SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

ETF-Besitz Gehalten von 106 ETFs

Gewichtung spiegelt nur direkte Aktienbestände (N-PORT) wider; gehebelte oder derivatbasierte Fonds können zusätzliche Swap-Exposure halten, die hier nicht angezeigt wird.

Fonds Gewicht Anteile Stand Quelle
FXG · First Trust Exchange-Traded AlphaDE… 3,46% 80.754 NS 30. April 2026 N-PORT
GURU · Global X Funds 1,06% 5.902 NS 30. April 2026 N-PORT
SYLD · Cambria ETF Trust 1,02% 93.641 NS 30. April 2026 N-PORT
HSMV · First Trust Exchange-Traded Fund III 0,88% 2.557 NS 30. April 2026 N-PORT
FNK · First Trust Exchange-Traded AlphaDE… 0,60% 12.333 NS 30. April 2026 N-PORT
PAMC · Pacer Funds Trust 0,40% 2.430 NS 30. April 2026 N-PORT
DFSV · Dimensional ETF Trust 0,38% 271.944 NS 30. April 2026 N-PORT
SIXL · EXCHANGE TRADED CONCEPTS TRUST 0,38% 7.726 NS 31. Mai 2026 N-PORT
JPUS · J.P. Morgan Exchange-Traded Fund Tr… 0,36% 15.408 NS 30. April 2026 N-PORT
JPME · J.P. Morgan Exchange-Traded Fund Tr… 0,34% 14.221 NS 30. April 2026 N-PORT
FSTA · FIDELITY COVINGTON TRUST 0,29% 40.395 NS 30. April 2026 N-PORT
FNX · First Trust Exchange-Traded AlphaDE… 0,29% 36.813 NS 30. April 2026 N-PORT
DFAT · Dimensional ETF Trust 0,23% 305.330 NS 30. April 2026 N-PORT
BKSE · BNY Mellon ETF Trust 0,21% 1.594 NS 30. April 2026 N-PORT
AVSC · AMERICAN CENTURY ETF TRUST 0,18% 55.601 NS 31. Mai 2026 N-PORT
FAB · First Trust Exchange-Traded AlphaDE… 0,18% 2.383 NS 30. April 2026 N-PORT
APUE · Trust for Professional Managers 0,18% 48.785 NS 31. Mai 2026 N-PORT
PAWZ · ProShares Trust 0,16% 567 NS 31. Mai 2026 N-PORT
MIDE · DBX ETF Trust 0,16% 58 NS 29. Mai 2026 N-PORT
JMOM · J.P. Morgan Exchange-Traded Fund Tr… 0,15% 31.172 NS 30. April 2026 N-PORT
PTMC · Pacer Funds Trust 0,13% 4.843 NS 30. April 2026 N-PORT
DFAS · Dimensional ETF Trust 0,12% 165.782 NS 30. April 2026 N-PORT
JVAL · J.P. Morgan Exchange-Traded Fund Tr… 0,11% 7.677 NS 30. April 2026 N-PORT
EBI · RBB Fund Trust 0,09% 6.291 NS 31. Mai 2026 N-PORT
MIDU · Direxion Shares ETF Trust 0,09% 698 NS 30. April 2026 N-PORT
BBMC · J.P. Morgan Exchange-Traded Fund Tr… 0,09% 16.721 NS 30. April 2026 N-PORT
MVV · ProShares Trust 0,08% 1.458 NS 31. Mai 2026 N-PORT
SCHA · SCHWAB STRATEGIC TRUST 0,08% 202.546 NS 31. Mai 2026 N-PORT
SCHM · SCHWAB STRATEGIC TRUST 0,07% 114.446 NS 31. Mai 2026 N-PORT
UMDD · ProShares Trust 0,06% 204 NS 31. Mai 2026 N-PORT
DEUS · DBX ETF Trust 0,05% 1.493 NS 29. Mai 2026 N-PORT
TILT · FlexShares Trust 0,04% 7.392 NS 30. April 2026 N-PORT
DFUV · Dimensional ETF Trust 0,03% 43.161 NS 30. April 2026 N-PORT
DXUV · Dimensional ETF Trust 0,03% 1.119 NS 30. April 2026 N-PORT
DFAC · Dimensional ETF Trust 0,03% 122.006 NS 30. April 2026 N-PORT
DCOR · Dimensional ETF Trust 0,02% 6.804 NS 30. April 2026 N-PORT
MSSM · MORGAN STANLEY PATHWAY FUNDS 0,02% 1.904 NS 31. Mai 2026 N-PORT
FNDX · SCHWAB STRATEGIC TRUST 0,02% 43.632 NS 31. Mai 2026 N-PORT
FNDB · SCHWAB STRATEGIC TRUST 0,01% 2.066 NS 31. Mai 2026 N-PORT
GVUS · Goldman Sachs ETF Trust 0,01% 612 NS 31. Mai 2026 N-PORT
DFAU · Dimensional ETF Trust 0,01% 11.862 NS 30. April 2026 N-PORT
DFUS · Dimensional ETF Trust 0,01% 11.635 NS 30. April 2026 N-PORT
GUSA · Goldman Sachs ETF Trust II 0,01% 1.467 NS 31. Mai 2026 N-PORT
SCHK · SCHWAB STRATEGIC TRUST 0,01% 3.397 NS 31. Mai 2026 N-PORT
SCHB · SCHWAB STRATEGIC TRUST 0,01% 24.730 NS 31. Mai 2026 N-PORT
MSLC · MORGAN STANLEY PATHWAY FUNDS 0,00% 1.918 NS 31. Mai 2026 N-PORT
FTLS · First Trust Exchange-Traded Fund III -0,07% -15.936 NS 30. April 2026 N-PORT
VXF · VANGUARD INDEX FUNDS 15. Juli 2026 Täglich
VB · VANGUARD INDEX FUNDS 15. Juli 2026 Täglich
VBR · VANGUARD INDEX FUNDS 15. Juli 2026 Täglich