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Darden Restaurants Inc.  (DRI)
Other Ticker:  
 
    Sector  Services    Industry Restaurants
   Industry Restaurants
   Sector  Services
 

Suppliers by DRI's Divisions

(Most recent Quarter in Millions of $)


COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Darden Restaurants Inc. DRI Total 2,602.9 281.7 10.82 %
Anheuser busch Inbev Sa BUD Domestic Beer 3,465.6 555.4 16.03 %
Anheuser busch Inbev Sa BUD Total 54,304.0 6,114.0 11.26 %
Coca Cola Co KO Total 11,325.0 1,900.0 16.78 %
Mccormick and Co Inc MKC Industrial Food 429.4 39.2 9.13 %
Pepsico Inc. PEP PepsiCo Beverages North America 5,360.0 860.0 16.04 %
Pepsico Inc. PEP PepsiCo International 3,056.0 418.0 13.68 %
Sealed Air Corp SEE Food Packaging 836.4 168.4 20.13 %
Sealed Air Corp SEE Protective & Specialty Packaging 384.7 81.0 21.06 %
Campbell Soup Co CPB U.S. Simple Meals 505.0 118.0 23.37 %
Ecolab Inc. ECL U.S. Other Services 117.5 16.9 14.38 %
General Mills Inc. GIS Bakeries & Foodservice 477.7 79.8 16.71 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
O i Glass Inc. OI Total 1,778.0 256.0 14.4 %
International Paper Company IP Industrial Packaging 3,642.0 553.0 15.18 %
International Paper Company IP Consumer Packaging 809.0 -153.0 -
The Clorox Company CLX North America 1,274.0 427.0 33.52 %
The Clorox Company CLX Lifestyle 245.0 -87.0 -
Campbell Soup Co CPB U.S. Beverages 165.0 33.0 20 %
Campbell Soup Co CPB North America Foodservice 328.0 28.0 8.54 %
Kellogg Company K U.S. Specialty 281.0 63.0 22.42 %
Conagra Brands Inc. CAG Ralcorp Frozen Bakery Products 238.6 20.7 8.68 %
Mondel z International Inc. MDLZ Beverages 342.0 0.0 -
Mondel z International Inc. MDLZ Cheese & Grocery 634.0 0.0 -
Sysco Corporation SYY Total 16,902.1 303.3 1.79 %
Matthews International Corp MATW Total 421.7 2.9 0.68 %
Neuroone Medical Technologies Corporation NMTC Total 48.3 -2.6 -
Lsi Industries Inc LYTS Total 110.1 3.6 3.29 %
Molson Coors Beverage Company TAP Total 2,643.3 165.7 6.27 %
Willamette Valley Vineyards Inc WVVI Total 6.2 0.4 5.89 %
Crimson Wine Group Ltd CWGL Total 18.6 -0.2 -
Constellation Brands Inc. STZ Beer 1,985.3 320.1 16.12 %
Pacific Ventures Group Inc. PACV Total 10.4 -1.1 -
The Boston Beer Company Inc. SAM Total 616.2 53.3 8.66 %
Mgp Ingredients Inc. MGPI Total 195.0 25.4 13.01 %
Celsius Holdings Inc CELH Total 133.4 6.7 5.01 %
Coca cola Consolidated Inc. COKE Total 1,595.2 99.6 6.24 %
National Beverage Corp. FIZZ Total 284.2 34.3 12.08 %
Jones Soda Co JSDA Total 4.5 -1.7 -
Monster Beverage Corporation MNST Total 1,425.0 321.3 22.55 %
Pepsico Inc. PEP Total 20,225.0 1,446.0 7.15 %
Equator Beverage Company MOJO Total 0.5 -0.0 -
Coca Cola Co KO North America 5,635.0 681.0 12.09 %
Reed s Inc. REED Total 12.2 -5.0 -
Charlies Holdings Inc TRUU Total 8.1 0.7 8.74 %
Bab Inc BABB Total 0.8 0.1 11.39 %
Farmer Brothers Co FARM Total 119.4 -4.0 -
Kraft Heinz Co KHC Total 6,554.0 265.0 4.04 %
Medifast Inc. MED Total 453.3 39.1 8.63 %
Mamamancini s Holdings Inc. MMMB Total 21.8 0.1 0.48 %
Performance Food Group Company PFGC Total 13,079.0 23.4 0.18 %
Pilgrim s Pride Corporation PPC Total 4,631.6 362.0 7.82 %
Treehouse Foods Inc THS Total 1,141.0 -3.0 -
Cal maine Foods Inc. CALM Total 577.1 109.9 19.04 %
Naturalshrimp Incorporated SHMP Total 5.8 -47.5 -
Pingtan Marine Enterprise Ltd. PME Total 164.1 -2.4 -
Clearwater Paper Corporation CLW Total 526.4 33.8 6.42 %
Sugarmade Inc. SGMD Total 1.3 -5.1 -
Graphic Packaging Holding Co GPK Total 2,358.0 66.0 2.8 %
Packaging Corp Of America PKG Total 2,237.3 301.5 13.48 %
Sonoco Products Company SON Total 1,913.3 131.8 6.89 %
Mannatech Incorporated MTEX Total 32.4 0.1 0.41 %
Landec Corporation LNDC Total 53.1 -12.9 -
Natural Alternatives International Inc NAII Total 42.4 2.5 5.91 %
Dupont De Nemours Inc. DD Nutrition & Health 810.0 317.0 39.14 %
Stepan Company SCL Total 751.6 52.1 6.94 %
Aptargroup inc ATR Total 844.5 63.6 7.53 %
Berry Global Group Inc. BERY Total 3,726.0 207.0 5.56 %
Tupperware Brands Corporation TUP Total 340.4 1.2 0.35 %
Greif Inc GEF Total 1,667.3 126.7 7.6 %
Alarm com Holdings Inc ALRM Total 205.4 8.9 4.33 %
Cornerstone Ondemand Inc CSOD Total 214.3 -0.4 -
Egain Corporation EGAN Total 23.9 -0.6 -
Everbridge Inc EVBG Total 100.4 -19.1 -
Instructure Holdings Inc. INST Total 114.6 -12.9 -
Liveperson Inc LPSN Total 130.2 -65.4 -
Right On Brands Inc. HLTK Total 0.4 0.1 22.02 %
Healthstream Inc HSTM Total 65.6 3.1 4.7 %
George Risk Industries Inc RSKIA Total 5.1 0.2 3.19 %
Diageo Plc DEO Total 22,448.0 3,338.0 14.87 %
APROX. MARKET   SUBTOTAL 208,134 20,304 9.76 %





       
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