conagra brands stock: Overview
Conagra Brands (CAG) — Stock Overview
This article covers conagra brands stock as a publicly traded common equity instrument (ticker: CAG) listed on the New York Stock Exchange. Readers will find a practical, investor‑focused summary of the stock’s listing and market details, a snapshot of recent intraday activity, historical price performance, high‑level financial context, dividend and shareholder return information, ownership structure, analyst coverage, trading characteristics, main investment considerations and where to verify live data. The goal is to help beginners and experienced investors locate reliable facts and next steps — including how to access live quotes and trade via Bitget.
As a reminder, conagra brands stock appears throughout this article in descriptions, market context and references to filings and market data.
Company summary
Conagra Brands, Inc. is a U.S. packaged‑foods company that develops, produces and sells branded and private‑label food products. The company’s operations are commonly grouped into business segments that help explain revenue mix and margin drivers:
- Grocery & Snacks — shelf‑stable and retail grocery brands across multiple categories.
- Refrigerated & Frozen — frozen meals, entrees and refrigerated items sold through retail supermarkets.
- International — geographically outside‑the‑U.S. sales and localized brand adaptations.
- Foodservice — products sold to restaurants, institutions and foodservice distributors.
Understanding conagra brands stock fundamentals requires paying attention to the company’s brand portfolio, product mix and channel exposure. Branded, grocery and frozen product performance, private‑label contract terms and foodservice demand all influence revenue and margin seasonality.
Ticker and listing
- Ticker symbol: CAG
- Primary exchange: New York Stock Exchange (NYSE)
- Trading currency: U.S. dollars (USD)
- Market‑cap grouping: CAG is typically classified among mid‑cap consumer staples or packaged‑food peers, though exact grouping can shift with market moves and index reconstitutions.
Key market data
Market fields investors commonly check for conagra brands stock include current/last price, market capitalization, shares outstanding, float, average daily volume, 52‑week range and beta (volatility measure). These figures change intraday and should be confirmed against live feeds.
- Snapshot from an AP market round‑up: As of 2026‑01‑28, according to AP market reporting, ConAgra Brands Inc. (CAG) showed a last price of $17.871 with daily volume of 2,151,933 and a reported change of +0.371 on that session. (Source: AP market summary.)
Note: the AP snapshot above is an intraday market quote. For up‑to‑date numerical values such as market capitalization, shares outstanding, float and 52‑week range, consult live data providers (Yahoo Finance, Barchart, StockAnalysis, YCharts and official filings).
Historical price performance
conagra brands stock has experienced multi‑period movements driven by macro trends, commodity costs, consumer spending and company‑specific events. Short‑term intraday swings are common; medium‑term windows (1‑6 months) show reactions to earnings, guidance changes and input‑cost commentary. Over 1‑year windows, CAG performance reflects both consumer staples sector behavior and episodic volatility tied to large restructuring, acquisitions or supply‑chain impacts. Always consult interactive price charts for detailed history and exact drawdown points.
Financial summary
Investors review several consolidated metrics to assess conagra brands stock fundamentals:
- Revenue and revenue growth (quarterly and annual): check latest 10‑Q/10‑K.
- Net income (or loss) and operating income: indicates profitability after costs, impairment or restructuring items.
- EPS (trailing and forward): basic and diluted trailing EPS and management/analyst forward EPS estimates.
- Common valuation ratios: P/E (trailing), forward P/E, EV/EBITDA, P/S (price‑to‑sales).
- Segment contribution and seasonality: Grocery & Snacks, Refrigerated & Frozen and Foodservice may vary seasonally and by distribution channel.
For conagra brands stock, primary sources for the exact values are the company’s SEC filings (10‑K and most recent 10‑Q), investor presentations and third‑party data platforms. The company occasionally records non‑cash charges (impairments) or restructuring expenses that materially affect reported net income in a given period; investors should look at adjusted operating measures when comparing across periods.
Dividends and shareholder returns
Conagra has historically returned cash to shareholders through regular common dividends and share repurchases. For conagra brands stock, investors typically monitor:
- Current dividend per share and indicated annual yield (yearlyized).
- Payout frequency (Conagra commonly pays quarterly; confirm with investor relations).
- Recent dividend changes, special distributions or suspensions.
- Ex‑dividend dates and record dates for upcoming payments.
Dividend yield and payout amounts can change with board decisions and earnings performance. Always verify the declared dividend amount and payment schedule from the company’s investor relations releases and recent proxy statements.
Share structure and ownership
Key ownership and float metrics that affect conagra brands stock dynamics include:
- Shares outstanding: total common shares issued (found in the latest 10‑Q/10‑K).
- Free float: portion of shares available for public trading after restricted shares.
- Institutional ownership percentage: the share of float held by institutional investors (mutual funds, ETFs, pensions) which often correlates with liquidity and analyst coverage.
- Insider ownership: shares held by officers, directors and material owners.
- Short interest metrics: short float (%) and short ratio (days to cover) — these can influence near‑term price dynamics.
For exact numerical values, refer to the most recent SEC filings and data aggregators; these figures update frequently.
Analyst coverage and price targets
conagra brands stock is covered by consumer staples and packaged‑foods analysts. Typical information investors review:
- Analyst consensus (Buy / Hold / Sell distribution): an aggregation of brokerage recommendations.
- Average and median price targets from reporting analysts.
- Recent notable upgrades or downgrades and the catalyst cited (e.g., margin outlook, cost‑savings, M&A).
Analyst commentary can shape expectations and intraday moves, but recommendations and price targets change with new data. Use consolidated analyst pages on financial data services for current consensus figures.
Recent corporate and financial events
Material events that have historically moved conagra brands stock include:
- Quarterly earnings releases and management guidance updates.
- Large non‑cash impairment charges or restructuring expenses.
- Major acquisitions, divestitures or portfolio realignments.
- Executive level changes (CEO, CFO) or board restructurings.
- Supply‑chain disruptions or significant commodity price shocks.
As of 2026‑01‑28, market‑session reporting listed ConAgra Brands among NYSE activity snapshots; investors should review the company’s latest earnings release, investor presentation and press coverage for the most recent material developments.
Trading characteristics and instruments
Trading features relevant to conagra brands stock:
- Options availability: CAG has listed standard equity options (calls and puts) for hedging or income strategies; check option chain liquidity before trading.
- Extended hours trading: pre‑market and after‑hours sessions exist for NYSE‑listed stocks; liquidity and spreads often widen outside regular hours.
- Liquidity factors: average daily volume, bid/ask spreads and institutional order flow affect execution quality. The AP snapshot indicated intraday volume of ~2.15 million on the cited session.
- Alternative access: investors may obtain exposure to conagra brands stock via mutual funds or ETFs that include packaged‑food or consumer‑staples holdings.
If you trade or want market access, consider using regulated platforms such as Bitget for order execution and Bitget Wallet for custody of on‑chain assets when relevant. (This is an informational pointer to Bitget services as a place to execute and monitor positions.)
Investment considerations and risks
Key factors and risks to weigh for conagra brands stock:
- Commodity and input‑cost exposure: wheat, oil, packaging and other commodity price swings can compress margins.
- Consumer demand sensitivity: while packaged food is relatively defensive, changes in consumer preferences and private‑label competition matter.
- Pricing power and trade promotion: the ability to pass costs through to consumers varies by brand and retail channel.
- Competitive landscape: rivalry with other packaged‑food companies and global snack/meal providers.
- Leverage and debt levels: high debt can constrain flexibility and amplify risk during cyclical downturns.
- Margin sensitivity: earnings can be sensitive to small changes in input cost or trade spending.
- Regulatory and food‑safety risks: recalls, supply‑chain contamination or regulatory actions can produce sharp drawdowns.
This summary is informational and not investment advice. Always perform your own due diligence and consult primary documents and licensed advisors when making investment decisions.
Corporate governance and regulatory filings
For authoritative company disclosures related to conagra brands stock, consult the following documents on the SEC EDGAR system and the company’s investor relations site:
- Annual report (Form 10‑K) — audited consolidated financial statements and risk factors.
- Quarterly reports (Form 10‑Q) — interim financials and management discussion.
- Current reports (Form 8‑K) — material events, corporate actions and executive changes.
- Proxy statements (DEF 14A) — board composition, executive compensation and shareholder proposals.
Shareholders should review board composition, committee structures (audit, compensation, nominating), executive compensation structures and recent insider transactions when assessing governance.
Historical corporate actions and capital events
Notable types of corporate actions that can be relevant to long‑term holders of conagra brands stock include:
- Share buyback programs and changes in repurchase authorization.
- Dividend initiations, increases or cuts and changes in payout policy.
- Mergers, acquisitions and significant divestitures that alter revenue mix.
- Stock splits or consolidations (reverse splits) where applicable.
Review the company’s historical press releases and SEC filings for an authoritative timeline of such capital events.
Related securities and peers
Common peers and comparable tickers in the packaged‑foods and consumer‑staples space include (representative examples):
- Kraft Heinz (KHC)
- General Mills (GIS)
- Mondelez International (MDLZ)
- Campbell Soup (CPB)
- Hormel Foods (HRL)
conagra brands stock is often present in consumer staples and packaged‑food industry indices. It may also be held within ETFs focused on consumer staples or defensive dividend strategies.
See also
- Conagra Brands investor relations (company site)
- SEC EDGAR filings for Conagra Brands (search by company name or ticker CAG)
- Financial data pages for real‑time quotes and charts (Yahoo Finance, Barchart, Finviz, StockAnalysis, YCharts)
- Related topics: packaged foods industry, dividend investing basics, stock valuation metrics (P/E, EV/EBITDA, P/S)
References
Primary market‑data and company information sources to verify figures and obtain live updates (examples):
- Barchart: CAG quote and market tools
- Finviz: CAG profile, financials and analyst actions
- StockAnalysis: real‑time price, profile and analyst consensus
- YCharts: company metrics and charts
- Markets / Business Insider / FinancialContent / CNN Markets / Yahoo Finance: quotes, news and market statistics
Note: These named sources are examples of commonly used market data vendors and are provided for verification of the facts and figures discussed above.
External links (where to obtain live and official information)
For live quotes, charts and corporate filings, consult the company’s investor relations site and the SEC EDGAR database. For live market data and analyst summaries, use major financial quote pages and data platforms such as Yahoo Finance, Finviz, Barchart and StockAnalysis.
Notes on sourcing and updates
- Market figures such as intraday price, market capitalization, volumes and analyst ratings are time‑sensitive and should be verified on live financial services before making decisions.
- For authoritative corporate information, consult the company’s SEC filings (10‑K, 10‑Q, 8‑K) and official press releases available from Conagra Brands’ investor relations.
- The AP intraday market snapshot cited earlier is dated 2026‑01‑28 (AP market summary) for the session that included ConAgra Brands; that snapshot reported a last price of $17.871 and volume of 2,151,933 on that trading day.
Further exploration: to follow conagra brands stock and execute trades, consider opening an account on Bitget to access regulated order execution and research tools. To store and interact with on‑chain assets, Bitget Wallet is a suggested option. Always confirm live prices and corporate facts from primary filings before taking action.





















