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Consumer Staples · NASDAQ NASDAQ · KHC

Kraft Heinz

$24.60 +$0.21 +0.86% CLOSE 09.11.26 AFTER HOURS $24.69
Convergence score
2.7 / 5.0 NEUTRAL
+0.0 vs last report
Overall valuation
Undervalued
Aggregated across multiple horizons
Consensus target (12mo)
$24.54 -0.2%
Range $19.00 — $41.00
Sector
Consumer Staples
NASDAQ · Tracked daily
Today's snapshot

Where the signals stand.

REPORT 09.11.26
UV Convergence Score
REPORT 09.11.26
2.7
/ 5.0
NEUTRAL
Consensus signal A
3.0
Consensus signal B
2.0
Consensus signal D
3.0
Analyst average
2.9
Multi-signal aggregate How CSR works →
Day Range
$24.15 – $24.77
52W Range
$21.04 – $28.09
Volume
123.8M
Avg Vol
14.9M
Mkt Cap
$29.17B
P/E
EPS (TTM)
Div Yield
6.50%
Beta
0.08
Today's convergence

Convergence score sits at 2.7 with overall valuation reading as undervalued. Drivers across the horizons inform the aggregate. Open the deep dives for valuation, analyst, or financial detail.

Valuation
Undervalued
CSR direction
NEUTRAL
Last close
$24.60
Sector
Consumer Staples
Valuation
Three horizons
UPDATED 09.11.26
Short term
0–3 MO
No target
Medium term
3–12 MO
$23-5.2% Hold
Long term
12–36 MO
$47.78+94.2% Undervalued
Open valuation
Analysts
Coverage & consensus
5 PANELS
Mean target (12mo)
$24.54 -0.2%
RANGE $19.00 — $41.00
Analyst consensus
Consensus rating Hold
Blended score 2.8 / 5
Analysts tracked 93
Open analysts
Financials
Key metrics
LATEST
P/E
EPS (TTM)
Mkt Cap
$29.17B
Div Yield
6.50%
Beta
0.08
52W Range
$21.04 – $28.09
Open financials
Reports
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Valuation breakdown

Three horizons, one consensus.

UPDATED 09.11.26
Short term
0–3 MO
Consensus target
No target available
Medium term
3–12 MO
Hold
Consensus target
$23 -5.2%
RANGE $19 – $27
$19NOW $24.60$27

12-month analyst consensus target across covering brokerages.

Long term
12–36 MO
Undervalued
Consensus target
$47.78 +94.2%

UVStocks in-house sector-relative valuation model.

Signal breakdown

What’s driving the score.

EACH SIGNAL RATED 1.0 — 5.0
Analyst coverage

Blended analyst consensus & targets.

5 PANELS · UPDATED 09.11.26
Analyst consensus
Rating Blended score Panels Analysts
Hold 2.8 5 93
Price targets
Coverage Low Mean Median High Upside
All panels $19.00 $24.54 $25.00 $41.00 -0.2%
Rating distribution
Coverage SB B H S SS
All panels 1 1 25 5 4
Rating trend
Period Rating Avg Analysts
Current
1 Mo Ago
2 Mo Ago
3 Mo Ago
Most recent analyst action
Date
8/7/2026
Firm
Barclays
Action
Boost Target
Rating
Equal Weight
Target
$26.00
Financials

Full financial snapshot.

UPDATED 09.11.26
Quote snapshot
Prev Close
$24.39
Open
$24.55
Day Low
$24.15
Day High
$24.77
Bid
$23.41
Ask
$25.41
52W Low
$21.04
52W High
$28.09
50D Avg
$25.48
200D Avg
$24.03
Volume
123.8M
Avg Vol
14.9M
10D Avg Vol
19.6M
52W Change
-6.66%
S&P 52W Change
15.30%
Valuation ratios
P/E (TTM)
P/E (Fwd)
11.76
PEG (Fwd)
0.99
P/S
1.17
P/B
0.81
Book Value
$30.36
EV/Revenue
1.82
EV/EBITDA
8.26
Mkt Cap
29.17B
Enterprise Val
45.37B
Profitability & returns
Profit Margin
-13.64%
Gross Margin
33.50%
Operating Margin
15.49%
EBITDA Margin
22.06%
Return on Assets
3.63%
Return on Equity
-8.76%
Growth
Revenue Growth (YoY)
-1.40%
Earnings Growth (YoY)
Earnings Growth (Q)
Balance sheet & cash flow
Total Revenue
24.9B
EBITDA
5.49B
Total Cash
2.68B
Total Debt
19B
Cash / Share
$2.26
Revenue / Share
$21.01
Free Cash Flow
3.25B
Operating CF
4.62B
Debt / Equity
52.59
Current Ratio
1.06
Quick Ratio
0.57
Dividend
Fwd Dividend
1.6 (6.50%)
Dividend Yield
6.50%
Payout Ratio
73.06%
5Y Avg Yield
4.90%
Ex-Div Date
2026-09-04
Share statistics
Shares Out
1.19B
Float
855.99M
Shares Short
98.61M
% Short of Float
11.49%
Short Ratio
6.49
% Held Insiders
27.78%
% Held Institutions
66.68%
Calendar & events
Next Earnings
2026-10-28
Fiscal Year End
2025-12-27
Most Recent Qtr
2026-06-27
Last Split
Split Date
Company
Industry
Packaged Foods
Employees
35,000