TR Cuplikan Saham Harga, kapitalisasi pasar, P/E, EPS, ROE, utang/ekuitas, kisaran 52 minggu

03
Harga $37.99
Kapitalisasi Pasar $1.59B
Pendapatan $733M
Imbal Hasil Dividen 1.6%
ROE 11.1%
Rentang 52M $33–$45

TR Grafik Harga Saham OHLCV harian dengan indikator teknis — geser, perbesar, dan sesuaikan tampilan Anda

04
rentang
batang

Granularitas batang menyesuaikan dengan periode yang dipilih — arahkan kursor ke bagan untuk melihat buka/tinggi/rendah/tutup untuk sebuah batang.

Pemecahan saham 29
Tanggal ex-dividen Pemecahan Tipe
5 Maret 2026 103-for-100 Maju
5 Maret 2025 103-for-100 Maju
5 Maret 2024 103-for-100 Maju
3 Maret 2023 103-for-100 Maju
4 Maret 2022 103-for-100 Maju
4 Maret 2021 103-for-100 Maju
5 Maret 2018 103-for-100 Maju
3 Maret 2017 103-for-100 Maju
4 Maret 2016 103-for-100 Maju
6 Maret 2015 103-for-100 Maju
28 Feb. 2014 103-for-100 Maju
1 Maret 2013 103-for-100 Maju
6 Maret 2009 103-for-100 Maju
6 Maret 2008 103-for-100 Maju
7 Maret 2007 103-for-100 Maju
8 Maret 2006 103-for-100 Maju
9 Maret 2005 103-for-100 Maju
27 Feb. 2004 103-for-100 Maju
28 Feb. 2003 103-for-100 Maju
1 Maret 2002 103-for-100 Maju
2 Maret 2001 103-for-100 Maju
3 Maret 2000 103-for-100 Maju
5 Maret 1999 103-for-100 Maju
14 Juli 1998 2-for-1 Maju
6 Maret 1998 103-for-100 Maju
7 Maret 1997 103-for-100 Maju
12 Juli 1995 2-for-1 Maju
29 Mei 1987 2-for-1 Maju
11 Juli 1986 3-for-2 Maju

Tentang Tootsie Roll Industries, Inc. Common Stock Tinjauan perusahaan dari Wikipedia

05 · wikidata

Tootsie Roll Industries () is an American manufacturer of confectionery based in Chicago, Illinois. Its best-known products include the namesake Tootsie Rolls and Tootsie Pops. Tootsie Roll Industries currently markets its brands internationally in Canada, Mexico, and over 75 other countries.

History

In 1896, Leo Hirschfield, an Austrian Jewish immigrant to the United States, began work at a small candy shop located in New York City owned by the Stern & Saalberg firm. In 1907, Hirschfield decided he wanted a chocolate-tasting candy that would not melt in the heat, and that would be an economical artificial alternative to traditional chocolates. He named the candy after the nickname of his daughter, Clara "Tootsie" Hirschfield. By this point, the company had expanded to a five-story factory. In 1917, the company's name was changed to The Sweets Company of America. It was reformed and listed on the American Stock Exchange in 1919.

The business forced Hirschfield out about a year later, and he started a new company, Mells Candy Corporation, also known as The Merry Mells Company. Owing to health and family issues, he died from suicide in 1922.

Mells failed in 1924.

In 1931, the Tootsie Pop — a hard-candy lollipop with Tootsie Roll filling — was invented and quickly became popular with Dust Bowl refugees during the Great Depression era because of its low price. During World War II, Tootsie Rolls became a standard part of American soldiers' field rations, due to the sustainability of the candy under a variety of environmental conditions.

In 1935, the company was in serious difficulty. Its principal supplier of paper boxes, Joseph Rubin & Sons of Brooklyn — concerned about the possible loss of an important customer — became interested in acquiring control. The company was listed on the New York Stock Exchange, but Bernard D. Rubin acquired a list of shareholders and approached them in person in order to purchase their shares. The Rubins eventually achieved control and agreed that Bernard would run the company as president. Mr. Rubin was able to increase sales and restore profits steadily, changing the formula of the Tootsie Roll and increasing its size, moving from Manhattan to a much larger plant in Hoboken, New Jersey, and guiding the company successfully through the difficult war years when vital raw materials were in short supply. When he died in 1948, he had increased the sales volume twelvefold. After his death, his brother William B. Rubin became president and remained president until 1962.

In 1962, William's daughter, Ellen Rubin Gordon, took control, and since January 2015, has been Chairman and CEO of the company. For many years prior to his death, her husband, Melvin Gordon, was Chairman and CEO from 1962 to 2015.

In 1966, the company adopted its current name of "Tootsie Roll Industries, Inc.", and in 1968, moved its headquarters to Chicago.

The company has acquired several famous confectionary brands, such as The Candy Corporation of America's Mason Division (1972), Cella's Confections (1985), The Charms Company (1988), Warner-Lambert's candy division (1993; excluding gum and mints), Andes Candies (2000), and Concord Confections (2004).

Tootsie Roll Industries reported a 6.3% decline in sales for the fiscal year ending in 2024, with total revenue falling to $715.5 million. The company attributed this decrease to elevated candy prices, driven by rising costs of cocoa and chocolate, which have negatively impacted its profit margins. Tootsie Roll Industries is shifting focus toward its non-chocolate product lines in response to these challenges. As part of this strategy, its subsidiary, Charms, is investing $97.7 million to expand the manufacturing facility responsible for producing Blow Pops, a popular lollipop brand.

Facilities

The company's headquarters is located on the South Side of Chicago, in a portion of the former Dodge Chicago Plant where the majority of the company's candy is produced. The company also has a factory in Mexico City where it produces some flavors of Tootsie Pops and other candy products for the Mexican market as well as for export to the U.S. and Canada. There is also a candy factory in The Port neighborhood of Cambridge, Massachusetts (belonging to the subsidiary "Cambridge Brands", formerly home to its predecessor, the James O. Welch Company), and a factory in Spain that produces candy for export to Canada.

Brands and products

Tootsie Roll brands and products include:

Andes Chocolate Mints

Candy Blox

Cella's chocolate-covered cherries

Charleston Chew candy bars

Charms Blow Pops and Caramel Apple Pops

Child's Play assorted candies

Dots gumdrops and Crows licorice candy

Dubble Bubble, Thrills, Razzles, and Cry Baby chewing gum

Fluffy Stuff cotton candy

Frooties fruit-flavored chewy candy

Junior Caramels

Junior Mints

Nik-L-Nip juice confection

Polar Mint

Sugar Daddy and Sugar Babies

Tootsie Rolls and Tootsie Pops

Wack-O-Wax, wax lip candy

Sumber: Wikipedia (English), CC BY-SA 4.0 · Lihat di Wikipedia ↗

Wikidata ↗

sektorConsumer Staples industriFood Products karyawan2.100 negaraUS

Kinerja 10 Tahun Tren Pendapatan, laba bersih, margin, dan EPS

06
Pendapatan$733M
2023-12-31 → 2025-12-31
Arus Kas Bebas$96M
2023-12-31 → 2025-12-31
Margin bersih13.0%
2023-12-31 → 2025-12-31
Valuasi & Rasio 07–12

Valuasi Rasio P/E, P/S, P/B, EV/EBITDA — apakah sahamnya mahal atau murah?

Metrik Tren 5 Tahun TR rata-rata 5T Median Rekan Kesimpulan
P/S 2.2 · · ·
P/B 1.7 · · ·
Price / FCF (Harga / FCF) 16.5 · · ·
Price / Cash Flow (Harga / Arus Kas) 12.2 · · ·
Price / Tangible Book (Harga / Nilai Buku Berwujud) 1.8 · · ·

Median rekan dihitung berdasarkan basis standar per metrik dan mungkin tidak selalu cocok dengan basis TTM/MRQ yang ditampilkan untuk saham ini.

nilai · ≈ rata-rata 5T · median industri · penilaian relatif terhadap median

Dividen Yield, rasio pembayaran, riwayat dividen, CAGR 5 tahun

13
Imbal Hasil Dividen1.6%
Rasio Pembayaran Dividen26.1%
Pembayaran Tahunan≈$0.36Dibayar triwulanan
CAGR Dividen 5T≈3.0%Per saham, disesuaikan pemecahan saham
Rentetan Pertumbuhan≈5Tahun berturut-turut pertumbuhan dividen
Tanggal ex-dividenJumlahMata UangImbal Hasil
Jun 18, 2026$0,09USD≈0.97%
Mar 5, 2026$0,09USD≈0.84%
Des 24, 2025$0,09USD≈0.95%
Okt 7, 2025$0,09USD≈0.83%
Jun 18, 2025$0,09USD≈1.0%
Mar 5, 2025$0,08USD≈1.1%
Des 18, 2024$0,08USD≈1.1%
Okt 8, 2024$0,08USD≈1.2%
Jun 20, 2024$0,08USD≈1.2%
Mar 5, 2024$0,08USD≈1.1%
Des 19, 2023$0,08USD≈1.1%
Okt 6, 2023$0,08USD≈1.2%
Jun 16, 2023$0,08USD≈0.93%
Mar 3, 2023$0,08USD≈0.83%
Des 20, 2022$0,08USD≈0.83%
Okt 7, 2022$0,08USD≈1.1%
Jun 17, 2022$0,08USD≈1.1%
Mar 4, 2022$0,08USD≈1.0%
Des 21, 2021$0,08USD≈0.96%
Okt 8, 2021$0,08USD≈1.1%

Riwayat Pendapatan EPS aktual vs perkiraan, kejutan %, tingkat keberhasilan, tanggal pendapatan berikutnya

14
Kejutan Rata-rata 35.9%
Laporan Berikutnya Okt 21, 2026
PeriodeLaporanEPS AktualEPS EstimasiKejutan
30 Sep. 2023 $0.49 — —
31 Maret 2023 $0.19 — —
31 Des. 2022 $0.37 — —
31 Maret 2011 $0.09 $0.07 35.9%

Fundamental Lengkap Semua metrik per tahun — laporan laba rugi, neraca, arus kas

15
Laporan Laba Rugi 13
Metrik Tren 202520242023202220212020201920182017201620152014
Revenue $733M$723M$769M$687M$571M$471M$527M$519M$519M$521M$540M$544M
Cost of Revenue $474M$470M$513M$454M$372M$301M$330M$331M$327M$322M$341M$342M
Gross Profit $258M$253M$257M$233M$199M$170M$197M$188M$192M$199M$199M$202M
SG&A Expense $158M$153M$155M$122M$132M$112M$128M$118M$121M$108M$108M$118M
Operating Income $101M$101M$102M$111M$67M$58M$69M$70M$70M$91M$91M$84M
Interest Expense ··$337.0K$104.0K$46.0K$164.0K$220.0K$181.0K$144.0K$105.0K$76.0K$99.0K
Other Non-op $2M$266.0K$678.0K$684.0K$1M$1M$1M$1M$1M$1M$126.0K$246.0K
Pretax Income $137M$127M$120M$98M$86M$76M$85M$73M$85M$98M$93M$91M
Income Tax $37M$40M$28M$22M$20M$17M$21M$16M$4M$31M$26M$28M
Net Income $100M$87M$92M$76M$65M$59M$65M$57M$81M$68M$66M$63M
EPS (Basic) $1.37$1.18$1.28$1.04$0.91$0.84$0.94$0.84$1.21$1.02$1.02$0.99
Shares (Basic) 72,905,00073,438,00071,903,00072,944,00071,478,00070,488,00069,386,00068,072,00066,962,00065,955,00065,103,00064,173,000
EBITDA $120M$119M$120M$128M$85M$76M$88M$89M$90M$112M$111M$105M
Neraca 21
Metrik Tren 202520242023202220212020201920182017201620152014
Cash & Equivalents $127M$139M$76M$53M$106M$167M$139M$111M$96M$119M$126M$100M
Short-term Investments $49M$56M$96M$96M$40M$42M$100M$75M$42M$68M$42M$39M
Receivables $48M$44M$56M$59M$55M$41M$45M$50M$47M$43M$51M$43M
Prepaid Expense $15M$10M$9M$12M$8M$7M$6M$10M$12M$6M$6M$6M
Current Assets $321M$334M$341M$309M$268M$321M$353M$304M$271M$299M$294M$265M
PP&E (Net) $238M$220M$223M$212M$209M$187M$188M$186M$179M$181M$185M$190M
PP&E (Gross) $717M$683M$670M$641M$621M$583M$567M$548M$527M$512M$500M$488M
Accum. Depreciation $480M$463M$448M$429M$412M$396M$379M$362M$348M$331M$315M$298M
Goodwill $73M$73M$73M$73M$73M$73M$73M$73M$73M$73M$73M$73M
Total Assets $1.25B$1.15B$1.08B$1.02B$1.02B$985M$978M$947M$931M$920M$909M$910M
Accounts Payable $16M$13M$16M$25M$15M$13M$13M$12M$12M$10M$11M$12M
Accrued Liabilities $64M$64M$62M$54M$54M$45M$42M$43M$45M$46M$50M$46M
Current Liabilities $98M$87M$95M$90M$80M$70M$80M$61M$64M$64M$72M$64M
Capital Leases $4M$5M$6M$4M$6M$78.0K$518.0K·····
Deferred Tax $67M$55M$45M$45M$45M$48M$47M$44M$41M$46M$95M$100M
Retained Earnings $65M$58M$63M$48M$40M$32M$41M$34M$57M$44M$52M$65M
Treasury Stock $2M$2M$2M$2M$2M$2M$2M$2M$2M$2M$2M$2M
AOCI $-21M$-23M$-23M$-30M$-25M$-20M$-20M$-22M$-22M$-20M$-17M$-13M
Stockholders' Equity $941M$871M$823M$783M$769M$763M$760M$751M$734M$711M$698M$691M
Liabilities + Equity $1.25B$1.15B$1.08B$1.02B$1.02B$985M$978M$947M$931M$920M$909M$910M
Shares Outstanding 41,821,00040,789,00039,999,00039,721,00039,344,00039,073,00038,836,00038,544,00037,960,00037,701,00037,382,00037,285,000
Arus Kas 14
Metrik Tren 202520242023202220212020201920182017201620152014
D&A $19M$18M$18M$18M$18M$18M$19M$19M$19M$20M$20M$21M
Deferred Tax $12M$9M$-1M$2M$-1M$-335.0K$2M$3M$-2M$69.0K$3.0K$1M
Other Non-cash $-312.0K$25M$-14M$-24M$4M$-2M$14M$23M$-54M$12M$5M$4M
Operating Cash Flow $131M$139M$95M$72M$85M$75M$100M$101M$43M$99M$91M$89M
CapEx $34M$18M$27M$23M$31M$18M$20M$28M$17M$16M$16M$11M
Investing Cash Flow $-111M$-36M$-14M$-69M$-92M$10M$-15M$-45M$-9M$-52M$-9M·
Stock Repurchased $6M$14M$33M$32M$30M$32M$34M$19M$34M$29M$33M$25M
Net Stock Activity $-6M$-14M$-33M$-32M$-30M$-32M$-34M$-19M$-34M$-29M$-33M$-25M
Dividends Paid $26M$26M$25M$25M$24M$24M$23M$23M$23M$22M$21M$19M
Financing Cash Flow $-33M$-39M$-58M$-56M$-54M$-56M$-57M$-42M$-57M$-51M$-54M·
Net Change in Cash $-12M$63M$23M$-53M$-61M$28M$28M$15M$-23M$-7M$26M$12M
Taxes Paid $25M$38M$20M$24M$23M$15M$14M$6M$19M$36M$25M$27M
Free Cash Flow $96M$121M$68M$49M$54M$57M$80M$73M$26M$82M$76M$78M
Levered FCF ··$68M$49M$54M$57M$80M$73M$26M$82M$75M$78M
Profitabilitas 8
Metrik Tren 202520242023202220212020201920182017201620152014
Gross Margin 35.3%35.0%33.4%33.9%34.9%36.2%37.4%36.3%37.0%38.3%36.9%37.1%
Operating Margin 13.8%13.9%13.2%16.1%11.8%12.4%13.1%13.6%13.8%17.7%16.9%15.4%
Net Margin 13.7%12.0%11.9%11.1%11.5%12.5%12.3%11.0%15.6%12.9%12.2%11.6%
Pretax Margin 18.7%17.5%15.6%14.3%15.0%16.2%16.2%14.1%16.3%18.8%17.1%16.8%
EBITDA Margin 16.4%16.4%15.6%18.7%14.8%16.2%16.7%17.2%17.4%21.5%20.6%19.3%
ROA 8.3%7.6%8.6%7.4%6.4%6.0%6.6%6.0%8.6%7.3%7.2%6.8%
ROE 11.1%10.0%11.3%9.7%8.6%7.7%8.6%7.6%11.2%9.5%9.5%9.1%
ROIC 7.8%7.9%9.5%10.9%6.7%5.9%6.9%7.3%9.3%8.9%9.3%8.4%
Likuiditas & Solvabilitas 3
Metrik Tren 202520242023202220212020201920182017201620152014
Current Ratio 3.33.83.63.43.44.64.45.04.24.74.14.1
Quick Ratio 2.32.72.42.32.53.63.63.82.93.63.02.8
Interest Coverage ··302.21065.01459.4355.1314.6389.4495.9880.11198.4847.7
Efisiensi 2
Metrik Tren 202520242023202220212020201920182017201620152014
Asset Turnover 0.60.60.70.70.60.50.50.50.60.60.60.6
Receivables Turnover 16.012.411.39.88.48.77.97.27.38.47.27.5
Per Saham 2
Metrik Tren 202520242023202220212020201920182017201620152014
Book Value / Share $22.50$21.35$20.59$19.72$19.55$19.54$19.57$19.47$19.33$18.87$18.68$18.53
Cash / Share $3.04$3.40$1.90$1.34$2.69$4.27$3.58$2.88$2.54$3.16$3.37$2.68
Tingkat Pertumbuhan 7
Metrik Tren 202520242023202220212020201920182017201620152014
Revenue YoY 1.3%-6.0%12.0%20.4%21.2%·······
Revenue CAGR 3Y 2.2%8.2%17.8%·········
Revenue CAGR 5Y 9.2%···········
Net Income YoY 15.2%-5.5%21.0%16.2%10.7%·······
Net Income CAGR 3Y 9.6%10.0%15.9%·········
Net Income CAGR 5Y 11.1%···········
Dividends Paid CAGR 5Y 1.8%···········
Valuasi (TTM) 11
Metrik Tren 202520242023202220212020201920182017201620152014
Revenue TTM $733M$723M$769M$687M$571M$471M$527M$519M$519M$521M$540M$544M
Net Income TTM $100M$87M$92M$76M$65M$59M$65M$57M$81M$68M$66M$63M
Market Cap $1.49B$1.24B$1.22B$1.50B$1.23B$972M$1.11B$1.08B$1.12B$1.18B$905M$850M
P/S 2.01.71.62.22.22.12.12.12.22.31.71.6
P/B 1.61.41.51.91.61.31.51.41.51.71.31.2
P / Tangible Book 1.71.61.62.11.81.4······
P / Cash Flow 11.48.912.920.914.413.011.110.726.112.09.99.6
P / FCF 15.410.317.930.922.817.113.914.742.714.312.010.9
Dividend Yield 1.8%2.1%2.1%1.6%2.0%2.5%2.1%2.1%2.0%1.9%2.3%2.3%
Payout Ratio 26.1%29.4%27.3%32.4%37.0%40.4%36.1%40.4%28.0%33.1%31.4%30.6%
Annual Payout $26M$26M$25M$25M$24M$24M$23M$23M$23M$22M$21M$19M

Periode terbaru di sebelah kiri · nilai null ditampilkan sebagai ·

Laporan Keuangan Laporan laba rugi, neraca, arus kas — tahunan, 5 tahun terakhir

16
Metrik 2025-12-312025-06-302025-03-312024-12-312024-09-30
Pendapatan $733M · · $723M ·
Margin Kotor % 35.3% · · 35.0% ·
Margin Operasi % 13.8% · · 13.9% ·
Laba Bersih $100M · · $87M ·

Pemilik institusional (13F) 246 pengaju · $577.3M total · Per tanggal 30 Sep. 2026

17

Institusi yang melaporkan kepemilikan saham ini dalam SEC Form 13F triwulanan mereka. Hanya posisi panjang; satu pengaju dapat muncul dua kali untuk leg opsi terpisah. Kaki put/call offset yang besar biasanya mencerminkan pembuatan pasar atau inventaris yang dilindungi, bukan keyakinan arah.

Pemegang 246
Nilai yang dipegang $577.3M
Posisi baru 46
Posisi yang keluar 33
Aktivitas institusional — Q2 2026 vs kuartal sebelumnya
Posisi baru Posisi yang keluar Meningkat Menurun Perubahan bersih saham
46 (+4 vs Kuartal sebelumnya) 33 (+11 vs Kuartal sebelumnya) 90 (-15 vs Kuartal sebelumnya) 65 (+18 vs Kuartal sebelumnya) -279K

Dibandingkan dengan Q1 2026. Pengajuan Formulir 13F SEC jatuh tempo dalam waktu 45 hari setelah akhir kuartal ditambah kelonggaran singkat untuk pengaju terlambat — kuartal yang masih dalam jangka waktu tersebut dilewati demi pasangan terakhir yang dilaporkan sepenuhnya.

Institusi Nilai Saham % dari 13F yang dilacak Tipe
BlackRock, Inc. $84.369.878 2.133.246 14,61% Saham
VANGUARD GROUP INC $79.280.874 2.164.370 13,73% Saham
DIMENSIONAL FUND ADVISORS LP $46.223.816 1.168.746 8,01% Saham
VANGUARD PORTFOLIO MANAGEMENT LLC $45.694.448 1.155.359 7,92% Saham
VANGUARD CAPITAL MANAGEMENT LLC $31.327.951 792.110 5,43% Saham
STATE STREET CORP $19.199.540 484.035 3,33% Saham
RENAISSANCE TECHNOLOGIES LLC $18.664.673 471.926 3,23% Saham
MILLENNIUM MANAGEMENT LLC $17.531.210 443.267 3,04% Saham
GEODE CAPITAL MANAGEMENT, LLC $14.117.842 356.853 2,45% Saham
TWO SIGMA INVESTMENTS, LP $11.748.327 297.050 2,04% Saham
HFR Wealth Management, LLC $11.677.661 295.263 2,02% Saham
Invesco Ltd. $9.806.502 247.952 1,70% Saham
JANE STREET GROUP, LLC $8.692.418 219.783 1,51% Saham
UBS Group AG $7.766.038 196.360 1,35% Saham
Qube Research & Technologies Ltd $7.729.098 195.426 1,34% Saham
MORGAN STANLEY $7.639.607 193.162 1,32% Saham
BFSG, LLC $7.122.967 180.100 1,23% Saham
GOLDMAN SACHS GROUP INC $6.167.902 155.952 1,07% Saham
Bank of New York Mellon Corp $6.079.500 153.717 1,05% Saham
CITADEL ADVISORS LLC $6.043.399 152.804 1,05% Saham
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $5.687.725 143.811 0,99% Saham
FIRST TRUST ADVISORS LP $5.193.785 131.322 0,90% Saham
VANGUARD FIDUCIARY TRUST CO $4.902.618 123.960 0,85% Saham
MARSHALL WACE, LLP $4.690.511 118.597 0,81% Saham
NORTHERN TRUST CORP $4.542.319 114.850 0,79% Saham
PRINCIPAL FINANCIAL GROUP INC $4.202.385 106.255 0,73% Saham
GABELLI FUNDS LLC $3.931.072 99.395 0,68% Saham
D. E. Shaw & Co., Inc. $3.597.349 90.957 0,62% Saham
BANK OF AMERICA CORP /DE/ $3.522.402 89.062 0,61% Saham
Point72 Asset Management, L.P. $3.402.684 86.035 0,59% Saham
HUSSMAN STRATEGIC ADVISORS, INC. $3.322.200 84.000 0,58% Saham
Nuveen, LLC $3.012.527 76.171 0,52% Saham
GAMCO INVESTORS, INC. ET AL $2.857.448 72.249 0,49% Saham
TUDOR INVESTMENT CORP ET AL $2.843.447 71.895 0,49% Saham
Public Sector Pension Investment Board $2.745.838 69.427 0,48% Saham
Engineers Gate Manager LP $2.668.992 67.484 0,46% Saham
Squarepoint Ops LLC $2.544.252 64.330 0,44% Saham
LANDSCAPE CAPITAL MANAGEMENT, L.L.C. $2.452.535 62.011 0,42% Saham
TWO SIGMA ADVISERS, LP $2.216.152 60.501 0,38% Saham
EXCHANGE TRADED CONCEPTS, LLC $2.155.554 54.502 0,37% Saham
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC $1.845.675 43.204 0,32% Saham
AMERICAN CENTURY COMPANIES INC $1.802.570 45.577 0,31% Saham
RAYMOND JAMES FINANCIAL INC $1.750.819 44.269 0,30% Saham
Legal & General Group Plc $1.635.274 41.347 0,28% Saham
Susquehanna Portfolio Strategies, LLC $1.489.532 37.662 0,26% Saham
Jain Global LLC $1.486.803 37.593 0,26% Saham
SUSQUEHANNA INTERNATIONAL GROUP, LLP $1.443.852 36.507 0,25% Saham
Skopos Labs, Inc. $1.412.110 33.055 0,24% Saham
AMERIPRISE FINANCIAL INC $1.359.120 34.359 0,24% Saham
Swiss National Bank $1.329.315 33.611 0,23% Saham

Tampilkan semua 246 pemilik institusional →

Aktivis & pemilik 5%+ 2 saham

18

Investor yang mengajukan Jadwal 13D SEC — kepemilikan manfaat di atas 5% dengan niat untuk memengaruhi penerbit (kepemilikan aktivis, kampanye dewan, M&A). Setiap baris menunjukkan status terbaru yang diketahui dari posisi pengaju tersebut.

Pengaju Diajukan Kepemilikan Status Tujuan Pengajuan
Gabelli Funds, LLC I.D. No., GAMCO Asset Management Inc. I.D. No., GGCP, Inc. I.D. No., (entities only GAMCO Investors, Inc. I.D. No., Associated Capital Group, Inc. I.D. No., Mario J. Gabelli ×2 pengajuan 29 Nov. 2018 · Pengajuan awal · SEC
Gabelli Funds, LLC & #160; I.D. No., GAMCO Asset Management Inc. I.D. No., GGCP, Inc. I.D. No., GAMCO Investors, Inc. 60; I.D. No., Mario J. Gabelli 23 Maret 2009 · Pengajuan awal · 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.

Orang dalam perusahaan 7 orang dalam · 3 pejabat · 3 direktur

19
Orang Dalam Peran Aktivitas terakhir Saham dimiliki Beli 12m Jual 12m Bersih 12m
Howard G Ember CFO 22 Maret 2005 P 9.434 0 0 $0
Melvin J Gordon Chairman 12 Des. 2014 J 42.058 0 0 $0
John W. Newlin Jr. Vice President-Mfg. 31 Des. 2008 G 14.135 0 0 $0
Brent Lana Jane Lewis Direktur 31 Juli 2014 P 23.395 0 0 $0
Barre A Seibert Direktur 4 Des. 2008 D 0 0 0 $0
Leigh R Weiner Pemilik 10% 20 Agu 2021 S 1.115 0 0 $0
Ellen R Gordon · 8 Mei 2026 G 1.453.460 0 0 $0

Orang dalam dari pengajuan SEC Form 3/4/5; bersih = hanya P/S pasar terbuka

Kepemilikan ETF Dimiliki oleh 42 ETF

20

Bobot mencerminkan kepemilikan ekuitas langsung (N-PORT) saja; dana berbasis leverage atau derivatif mungkin memiliki eksposur swap tambahan yang tidak ditampilkan.

Dana Bobot Unit Per tanggal Sumber
PSCC · Invesco Exchange-Traded Fund Trust … 1,23% 10.707 SH 2 Okt. 2026 Harian
XSLV · Invesco Exchange-Traded Fund Trust … 0,77% 47.451 SH 2 Okt. 2026 Harian
CAFG · Pacer Funds Trust 0,67% 5,189,62 NS 31 Juli 2026 N-PORT
RZG · Invesco Exchange-Traded Fund Trust 0,35% 10.918 SH 2 Okt. 2026 Harian
FYC · First Trust Exchange-Traded AlphaDE… 0,13% 43.541 NS 31 Juli 2026 N-PORT
VIOG · VANGUARD ADMIRAL FUNDS 0,09% 24.096 SH 19 Agu 2026 Harian
FSTA · FIDELITY COVINGTON TRUST 0,08% 29.210 NS 31 Juli 2026 N-PORT
VDC · VANGUARD WORLD FUND 0,08% 192.871 SH 19 Agu 2026 Harian
QVMS · Invesco Exchange-Traded Fund Trust … 0,05% 3.274 SH 2 Okt. 2026 Harian
RWJ · Invesco Exchange-Traded Fund Trust … 0,05% 24.425 SH 2 Okt. 2026 Harian
VFMV · VANGUARD WELLINGTON FUND 0,04% 3.771 SH 19 Agu 2026 Harian
VIOO · VANGUARD ADMIRAL FUNDS 0,04% 70.583 SH 19 Agu 2026 Harian
DFAS · Dimensional ETF Trust 0,04% 139.696 NS 31 Juli 2026 N-PORT
BKSE · BNY Mellon ETF Trust 0,03% 761 NS 31 Juli 2026 N-PORT
PRFZ · Invesco Exchange-Traded Fund Trust 0,03% 18.768 SH 2 Okt. 2026 Harian
FAD · First Trust Exchange-Traded AlphaDE… 0,03% 3.946 NS 31 Juli 2026 N-PORT
BBSC · J.P. Morgan Exchange-Traded Fund Tr… 0,02% 4.438 NS 31 Juli 2026 N-PORT
DFAT · Dimensional ETF Trust 0,02% 86.856 NS 31 Juli 2026 N-PORT
ISCG · iShares Trust 0,02% 5.098 SH 11 Sep. 2026 Harian
VBK · VANGUARD INDEX FUNDS 0,02% 226.639 SH 19 Agu 2026 Harian
VFMO · VANGUARD WELLINGTON FUND 0,02% 9.272 SH 19 Agu 2026 Harian
VXF · VANGUARD INDEX FUNDS 0,01% 232.301 SH 19 Agu 2026 Harian
VB · VANGUARD INDEX FUNDS 0,01% 394.134 SH 19 Agu 2026 Harian
WSML · iShares Trust 0,01% 1.184 SH 11 Sep. 2026 Harian
PFM · Invesco Exchange-Traded Fund Trust 0,01% 1.226 SH 30 Sep. 2026 Harian
DFAC · Dimensional ETF Trust 0,01% 72.466 NS 31 Juli 2026 N-PORT
DXUV · Dimensional ETF Trust 0,01% 754 NS 31 Juli 2026 N-PORT
TILT · FlexShares Trust 0,00% 2.692 NS 31 Juli 2026 N-PORT
DFUV · Dimensional ETF Trust 0,00% 17.914 NS 31 Juli 2026 N-PORT
DCOR · Dimensional ETF Trust 0,00% 2.938 NS 31 Juli 2026 N-PORT
DFAU · Dimensional ETF Trust 0,00% 10.409 NS 31 Juli 2026 N-PORT
ITOT · iShares Trust 0,00% 30.651 SH 11 Sep. 2026 Harian
DFUS · Dimensional ETF Trust 0,00% 6.031 NS 31 Juli 2026 N-PORT
VTI · VANGUARD INDEX FUNDS 0,00% 541.606 SH 19 Agu 2026 Harian
VIG · VANGUARD SPECIALIZED FUNDS 0,00% 114.373 SH 19 Agu 2026 Harian
DFSU · Dimensional ETF Trust 0,00% 8 NS 31 Juli 2026 N-PORT
IJR · iShares Trust · 1.232.943 SH 10 Sep. 2026 Harian
IJT · iShares Trust · 192.245 SH 9 Sep. 2026 Harian
XJR · iShares Trust · 2.827 SH 2 Sep. 2026 Harian
ISCB · iShares Trust · 795 SH 11 Sep. 2026 Harian
SMLF · iShares Trust · 12.755 SH 11 Sep. 2026 Harian
SMMV · iShares Trust · 7.235 SH 2 Sep. 2026 Harian

Perbandingan rekan (sub-industri GICS) Metrik utama vs rekan sektor

22

Dasar FY, harga per penutupan akhir tahun fiskal terakhir setiap perusahaan.

Ticker Kapitalisasi Pasar P/E Pendapatan YoY Margin Bersih ROE Margin Kotor
TR $1.49B · 1.3% 13.7% 11.1% 35.3%
CPB · 16.8 -5.0% 4.1% 10.4% ·
POST $5.67B 19.5 3.0% 4.1% 8.8% 28.7%
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 $3.12B 16.4 1.1% 9.9% 18.4% 24.7%
UTZ · 1046.0 2.1% 0.06% 0.11% 24.9%
JJSF $1.86B 28.5 0.54% 4.1% 6.9% 29.7%
SENEA · 9.1 5.1% 6.9% 16.1% ·
MDLZ $68.99B 28.5 5.8% 6.4% 9.3% 28.4%

Berita Terbaru Berita utama terbaru yang menyebutkan perusahaan ini

23

Metrik Saya Daftar pantauan pribadi Anda — baris yang dipilih dari Fundamental Lengkap

26

Pilih metrik yang penting bagi Anda — klik + di sebelah baris mana pun di Fundamental Lengkap di atas.

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Sumber: SEC 10-Q diajukan Agu 7, 2026