Worst Performing Stocks In Consumer Non Cyclical Sector Over The Past 12 Months
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Shares increased by 1.53% on average, in Consumer Non Cyclical Sector over the past 12 months. Here are the Worst performing stocks in Consumer Non Cyclical Sector.
XXII
$0.3032
$-1.1168
-78.65%
Last 12 Months
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XXII
$0.3032
$-1.1168
-78.65%
22nd Century Group inc
22nd Century Group Inc stock went down -78.65% over the past 12 months.
22nd Century Group Inc is a company that operates in various sectors, including plant biotechnology, tobacco, cannabis, and hemp. They focus on developing and commercializing unique technology and products related to genetics, plant breeding, and agricultural science.
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DAR
$33.32
$-28.1200
-45.77%
Last 12 Months
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DAR
$33.32
$-28.1200
-45.77%
Darling Ingredients Inc
Darling Ingredients Inc shares declined -45.77% over the past 12 months.
Darling Ingredients Inc. operates a sustainable business model centered on converting organic by-products into valuable and usable materials. They collect and process animal and food waste, used cooking oil, and other organic residuals to produce ingredients for industries such as agriculture, pet food, bioenergy, and various consumer products. Their business model focuses on environmental sustainability and waste reduction, ultimately transforming waste into beneficial resources.
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EL
$83.07
$-68.2300
-45.10%
Last 12 Months
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EL
$83.07
$-68.2300
-45.10%
Est e Lauder Companies Inc
Est E Lauder Companies Inc stock went down -45.10% over the past 12 months.
Estée Lauder Companies Inc operates as a global leader in the beauty industry. Their business model focuses on developing, manufacturing, and marketing a wide range of skincare, makeup, fragrance, and hair care products under various well-established brands. The company primarily distributes its products through high-end department stores, specialty retailers, e-commerce, and company-owned stores worldwide, aiming to capture consumer attention and loyalty through their diverse portfolio of prestigious and innovative beauty brands.
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LW
$61.88
$-35.7400
-36.61%
Last 12 Months
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LW
$61.88
$-35.7400
-36.61%
Lamb Weston Holdings Inc
Lamb Weston Holdings Inc stock dropped -36.61% over the past 12 months.
Lamb Weston Holdings Inc is a leading supplier of frozen potato products. Their business model is focused on producing and distributing a wide variety of high-quality frozen potato products, such as fries and other potato-based appetizers, to customers around the world. They aim to meet customer demands by continuously innovating and offering a diverse range of products, while also emphasizing sustainability and efficient supply chain management.
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MOS
$24.36
$-13.0000
-34.80%
Last 12 Months
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MOS
$24.36
$-13.0000
-34.80%
Mosaic Co
Mosaic Co stock dropped -34.80% over the past 12 months.
The Mosaic Co*s business model revolves around the production and distribution of fertilizers and other crop nutrition solutions. They engage in mining, manufacturing, and marketing of phosphate and potash-based fertilizers globally.
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ADM
$58.735
$-20.9650
-26.30%
Last 12 Months
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ADM
$58.735
$-20.9650
-26.30%
Archer daniels midland Co
Archer Daniels Midland Co shares went down -26.30% over the past 12 months.
Archer Daniels Midland Co*s business model is centered around the sourcing, processing, and distribution of agricultural commodities.
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COTY
$8.74
$-2.6700
-23.40%
Last 12 Months
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COTY
$8.74
$-2.6700
-23.40%
Coty Inc
Coty Inc stock dropped -23.40% over the past 12 months.
Coty Inc is a multinational beauty company that operates using a brand-focused business model.
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BG
$94.925
$-19.4850
-17.03%
Last 12 Months
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BG
$94.925
$-19.4850
-17.03%
Bunge Global Sa
Bunge Global Sa shares went down -17.03% over the past 12 months.
Bunge Limited operates as an agribusiness and food company, engaging in the sourcing, processing, and distribution of agricultural commodities and their derivatives worldwide. The company focuses on maximizing value for its stakeholders through integrated supply chain management, leveraging its expertise in processing and trading to meet the evolving demands of global food and feed markets.
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TAP
$53.33
$-10.7600
-16.79%
Last 12 Months
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TAP
$53.33
$-10.7600
-16.79%
Molson Coors Beverage Company
Molson Coors Beverage Company shares declined -16.79% over the past 12 months.
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HRL
$31.3
$-6.1000
-16.31%
Last 12 Months
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HRL
$31.3
$-6.1000
-16.31%
Hormel Foods Corporation
Hormel Foods Corporation shares went down -16.31% over the past 12 months.
Hormel Foods Corporation focuses on producing, marketing, and distributing a variety of food products globally. Its business model revolves around creating value through brand recognition, innovation in product development, and maintaining a diverse portfolio of established and emerging food brands. Hormel Foods achieves profitability by leveraging its extensive distribution network, implementing cost-saving initiatives, and ensuring consistent quality across its product lines.
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SEB
$3068.5
$-532.0500
-14.78%
Last 12 Months
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SEB
$3068.5
$-532.0500
-14.78%
Seaboard Corporation
Seaboard Corporation shares went down -14.78% over the past 12 months.
Seaboard Corporation is a diversified conglomerate with a complex business model that operates in various industries, including agriculture, energy, and transportation.
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THS
$40.89
$-5.5100
-11.88%
Last 12 Months
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THS
$40.89
$-5.5100
-11.88%
Treehouse Foods Inc
Treehouse Foods Inc shares declined -11.88% over the past 12 months.
Treehouse Foods Inc is a food and beverage manufacturing company that operates on a private label model. They primarily focus on producing and selling packaged foods under various retailer brands instead of creating and marketing their own. Through efficient manufacturing and supply chain management, Treehouse Foods caters to the growing demand for private label products in the market.
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SCL
$70.24
$-7.8000
-9.99%
Last 12 Months
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SCL
$70.24
$-7.8000
-9.99%
Stepan Company
Stepan Company stock went down -9.99% over the past 12 months.
Stepan Company operates as a global specialty chemicals manufacturer, providing a wide range of innovative products and solutions to various industries including personal care, household, and industrial markets. They consistently focus on research and development, manufacturing excellence, and close collaboration with customers to meet their specific needs in delivering high-quality chemical solutions.
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SJM
$117.7637
$-12.0963
-9.31%
Last 12 Months
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SJM
$117.7637
$-12.0963
-9.31%
The J M Smucker Company
The J M Smucker Company stock dropped -9.31% over the past 12 months.
The J M Smucker Company*s business model focuses on producing and distributing a diverse range of food products, including coffee, pet food, snacks, and various consumer goods.
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FIZZ
$44.42
$-3.6100
-7.52%
Last 12 Months
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FIZZ
$44.42
$-3.6100
-7.52%
National Beverage Corp
National Beverage Corp shares went down -7.52% over the past 12 months.
National Beverage Corp*s business model is centered around the production and distribution of a diverse range of beverage products, including soft drinks, sparkling waters, energy drinks, and juices. They aim to generate revenue by selling these products to consumers through various retail channels, while also emphasizing innovation, quality, and brand differentiation.
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CF
$76.73
$-4.9500
-6.06%
Last 12 Months
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CF
$76.73
$-4.9500
-6.06%
Cf Industries Holdings inc
Cf Industries Holdings Inc stock went down -6.06% over the past 12 months.
Cf Industries Holdings Inc is a global leader in the manufacturing and distribution of nitrogen products for agricultural and industrial markets. Their business model focuses on the production of nitrogen-based fertilizers using the Haber-Bosch process, enabling them to provide essential nutrients to crops worldwide. They generate revenue by selling these products to farmers and industrial customers, aiming to maximize profitability through efficient operations and effective market positioning.
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STZ
$246.8
$-13.8700
-5.32%
Last 12 Months
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STZ
$246.8
$-13.8700
-5.32%
Constellation Brands Inc
Constellation Brands Inc stock declined -5.32% over the past 12 months.
Constellation Brands Inc is a diversified beverage company that primarily focuses on the production, import, and marketing of beer, wine, and spirits. Their business model involves partnering with various global brands, owning and operating their own production facilities, and distributing their products to a wide range of customers including wholesalers, retailers, and consumers. They also have a strong focus on innovation, investing in new product development and expanding into emerging markets.
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HSY
$198.12
$-9.4700
-4.56%
Last 12 Months
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HSY
$198.12
$-9.4700
-4.56%
Hershey Co
Hershey Co stock dropped -4.56% over the past 12 months.
Hershey Co is a leading global confectionery company that operates through various segments such as North America, International and Hershey*s Chocolate World retail stores. The company*s business model primarily revolves around the manufacturing, marketing, selling, and distribution of confectionery and grocery products, including chocolate bars, snacks, drinks, baking ingredients, and more. Hershey Co*s strong brand recognition, extensive distribution network, and focus on innovation help it maintain a competitive edge in the confectionery market.
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PEP
$175.065
$-3.2050
-1.80%
Last 12 Months
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PEP
$175.065
$-3.2050
-1.80%
Pepsico Inc
Pepsico Inc stock went down -1.80% over the past 12 months.
PepsiCo Inc*s business model focuses on producing, marketing, and selling a diverse range of food and beverage products globally. The company operates through various divisions such as Frito-Lay, Quaker Foods, PepsiCo Beverages, and others. PepsiCo aims to provide consumers with a wide selection of convenient and enjoyable snacks, beverages, and food options, while also focusing on sustainability and healthier choices. They utilize their strong distribution networks, brand recognition, and marketing efforts to reach customers worldwide.
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FLO
$22.825
$-0.2650
-1.15%
Last 12 Months
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FLO
$22.825
$-0.2650
-1.15%
Flowers Foods Inc
Flowers Foods Inc stock declined -1.15% over the past 12 months.
Flowers Foods Inc*s business model focuses on manufacturing and selling bakery products to various markets, including retail, foodservice, and convenience stores. The company operates through a network of bakeries, producing a diverse range of fresh bread, rolls, buns, tortillas, snack cakes, and other bakery items. They distribute their products through their own direct-store delivery system and third-party distributors. Additionally, Flowers Foods Inc also engages in strategic acquisitions and partnerships to expand its product portfolio and reach new markets.
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MKC
$82.81
$2.0800
2.58%
Last 12 Months
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MKC
$82.81
$2.0800
2.58%
Mccormick and Company Incorporated
Mccormick And Company Incorporated shares improved 2.58% over the past 12 months.
McCormick and Co Inc follows a business model that focuses on manufacturing, marketing, and distributing a wide range of spices, seasonings, and flavorings globally, aiming to bring flavor and taste to consumers* food experiences. They establish partnerships with retailers and foodservice customers while continuously innovating and expanding their product portfolio to meet evolving consumer demands.
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MDLZ
$73.935
$2.8750
4.05%
Last 12 Months
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MDLZ
$73.935
$2.8750
4.05%
Mondel z International Inc
Mondel Z International Inc shares improved 4.05% over the past 12 months.
Mondel?z International Inc*s business model revolves around producing and distributing a wide range of snack products globally.
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KHC
$35.055
$1.4950
4.45%
Last 12 Months
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KHC
$35.055
$1.4950
4.45%
Kraft Heinz Co
Kraft Heinz Co stock went up 4.45% over the past 12 months.
Kraft Heinz Co operates as a consumer packaged food and beverage company, primarily focusing on manufacturing and marketing a wide range of food products. Their business model revolves around developing, distributing, and selling popular food items across various markets, targeting both consumers and retailers.
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EBF
$22.592
$1.2220
5.72%
Last 12 Months
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EBF
$22.592
$1.2220
5.72%
Ennis Inc
Ennis Inc shares went up 5.72% over the past 12 months.
Ennis Inc*s business model revolves around providing a wide range of print and promotional solutions to help businesses and organizations effectively communicate their messaging and brand identity through printed materials, apparel, and other promotional products. They aim to offer customizable and high-quality products and services, meeting the diverse needs of their clients in various industries.
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CVGW
$27.79
$1.7500
6.72%
Last 12 Months
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CVGW
$27.79
$1.7500
6.72%
Calavo Growers Inc
Calavo Growers Inc stock went up 6.72% over the past 12 months.
Calavo Growers Inc operates under a business model focused on the production and distribution of fresh avocados and other fresh produce. They work with growers across different regions to ensure a consistent supply and maintain relationships with customers in both retail and foodservice sectors. Additionally, Calavo Growers has expanded its business through acquisitions and partnerships to diversify its product portfolio and global presence.
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UVV
$50.29
$3.3400
7.11%
Last 12 Months
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UVV
$50.29
$3.3400
7.11%
Universal Corporation
Universal Corporation stock improved 7.11% over the past 12 months.
Universal Corporation operates as a tobacco merchant and supplier, primarily engaged in leaf tobacco processing and distribution. They procure, process, pack, and sell tobacco to manufacturers of consumer tobacco products globally. Their business model focuses on sourcing and processing quality leaf tobacco and providing exemplary customer service, while adhering to industry regulations and maintaining strong relationships with customers and growers.
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CHD
$103.215
$7.9150
8.31%
Last 12 Months
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CHD
$103.215
$7.9150
8.31%
Church and Dwight Co Inc
Church And Dwight Co Inc shares increased 8.31% over the past 12 months.
Church & Dwight Co Inc*s business model revolves around manufacturing, marketing, and selling a wide range of consumer and specialty products. They focus on developing and maintaining a portfolio of trusted brands that cater to various customer needs, including personal care, household, and healthcare products. By emphasizing innovation, quality, and cost-efficiency, Church & Dwight aims to deliver value to its customers while driving sustainable growth and profitability for the company.
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CLX
$163.09
$13.4900
9.02%
Last 12 Months
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CLX
$163.09
$13.4900
9.02%
The Clorox Company
The Clorox Company shares increased 9.02% over the past 12 months.
The Clorox Company*s business model revolves around producing and marketing a wide range of consumer and professional products for cleaning, hygiene, and personal care. They focus on delivering high-quality and innovative solutions to meet the needs of their customers.
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CAG
$31.4
$2.7700
9.68%
Last 12 Months
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CAG
$31.4
$2.7700
9.68%
Conagra Brands inc
Conagra Brands Inc shares improved 9.68% over the past 12 months.
Conagra Brands Inc*s business model focuses on producing and marketing a wide range of food products, including frozen meals, snacks, condiments, and pantry staples, to consumers worldwide.
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KDP
$36.825
$3.5650
10.72%
Last 12 Months
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KDP
$36.825
$3.5650
10.72%
Keurig Dr Pepper Inc
Keurig Dr Pepper Inc stock improved 10.72% over the past 12 months.
Keurig Dr Pepper Inc operates in the beverage industry and follows a direct distribution business model. They manufacture a wide range of popular beverage brands, including coffee, tea, soft drinks, and more, and they distribute their products directly to retailers and consumers through their own sales and distribution network, bypassing intermediaries. This model allows them to have better control over their supply chain, enhance brand visibility, and maintain strong relationships with retailers and customers.
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FDP
$27.91
$2.8700
11.46%
Last 12 Months
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FDP
$27.91
$2.8700
11.46%
Fresh Del Monte Produce Inc
Fresh Del Monte Produce Inc shares improved 11.46% over the past 12 months.
Fresh Del Monte Produce Inc operates as a global producer and distributor of fresh fruits and vegetables, offering a wide range of produce to customers worldwide through its extensive supply chain network. The company focuses on delivering high-quality, fresh and healthy produce while consistently implementing sustainable practices in its farming, harvesting, and distribution processes.
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GIS
$73.42
$7.9300
12.11%
Last 12 Months
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GIS
$73.42
$7.9300
12.11%
General Mills Inc
General Mills Inc stock improved 12.11% over the past 12 months.
General Mills Inc is a multinational consumer goods company that operates on a traditional business model. The company focuses on manufacturing and marketing a wide range of food products, including popular cereal brands, ready-to-eat meals, baking mixes, and snack foods. General Mills distributes its products through various channels, including retail, e-commerce, and foodservice sectors, to cater to the diverse needs of its customers worldwide.
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PG
$174.45
$22.4200
14.75%
Last 12 Months
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PG
$174.45
$22.4200
14.75%
Procter and Gamble Co
Procter And Gamble Co shares increased 14.75% over the past 12 months.
Procter and Gamble Co. operates with a business model focused on providing consumer packaged goods. The company develops, manufactures, and distributes a wide range of products across various categories such as personal care, cleaning agents, health care, and pet care. P&G?s business strategy entails innovation, brand building, and efficient supply chain management to meet consumer demand and maintain a strong market position.
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CPB
$49.44
$6.8600
16.11%
Last 12 Months
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CPB
$49.44
$6.8600
16.11%
Campbell Soup Co
Campbell Soup Co shares increased 16.11% over the past 12 months.
Campbell Soup Co*s business model revolves around the production and sale of various food products, including soups, beverages, snacks, and simple meals. They operate through different brands and aim to provide convenient and high-quality food items to consumers globally.
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TSN
$61.74
$8.8500
16.73%
Last 12 Months
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TSN
$61.74
$8.8500
16.73%
Tyson Foods Inc
Tyson Foods Inc shares went up 16.73% over the past 12 months.
Tyson Foods Inc operates as a food company that produces, distributes, and markets a range of poultry, beef, and pork products to retail and foodservice customers. The company*s business model involves sourcing raw materials, processing them into various finished products, and then selling them through multiple channels to meet the demands of consumers and businesses.
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MO
$52.875
$8.0050
17.84%
Last 12 Months
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MO
$52.875
$8.0050
17.84%
Altria Group Inc
Altria Group Inc shares went up 17.84% over the past 12 months.
Altria Group Inc operates under a business model focused primarily on the manufacturing and sale of tobacco products. The company generates revenue through the production and distribution of cigarettes, cigars, and smokeless tobacco products. Altria also invests in innovative alternatives to traditional tobacco, such as e-vapor products.
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KO
$70.85
$12.5500
21.53%
Last 12 Months
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KO
$70.85
$12.5500
21.53%
Coca Cola Co
Coca Cola Co shares improved 21.53% over the past 12 months.
Coca Cola Co*s business model focuses on producing, distributing, and marketing non-alcoholic beverages, primarily carbonated soft drinks, along with a range of other beverages. They operate through a global network of bottling partners, whereby they sell concentrate or syrup to these bottlers who then manufacture, package, and distribute the final products to retailers and consumers. Coca Cola Co also engages in strategic marketing and branding efforts to promote their products and maintain a strong presence in the market.
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PM
$124.83
$30.3800
32.17%
Last 12 Months
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PM
$124.83
$30.3800
32.17%
Philip Morris International Inc
Philip Morris International Inc shares went up 32.17% over the past 12 months.
Philip Morris International Inc is a tobacco company that follows a business model focused on selling and marketing a range of tobacco and nicotine-based products globally. They aim to attract and retain customers through brand loyalty and extensive distribution networks.
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K
$79.975
$20.3750
34.19%
Last 12 Months
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K
$79.975
$20.3750
34.19%
Kellanova
Kellanova shares improved 34.19% over the past 12 months.
Kellogg Company*s business model is centered around the production and marketing of breakfast cereals, snacks, and a variety of convenience foods. Their main focus is on developing and selling branded food products, targeting both domestic and international markets. The company operates through various distribution channels such as grocery stores, supermarkets, and online platforms. Additionally, Kellogg utilizes a combination of in-house manufacturing facilities and contract manufacturers to efficiently produce and deliver its products to consumers.
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ECL
$246.46
$64.3400
35.33%
Last 12 Months
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ECL
$246.46
$64.3400
35.33%
Ecolab Inc
Ecolab Inc shares improved 35.33% over the past 12 months.
Ecolab Inc operates through three business segments: Global Industrial, Global Institutional, and Global Energy. The company provides water, hygiene, and energy technologies and services to a variety of industries, including food and beverage, healthcare, hospitality, and energy.
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