gis stock — General Mills (GIS) Overview
GIS (General Mills, Inc.) — Overview
As of January 24, 2026, gis stock refers to General Mills, Inc. (NYSE: GIS), a major U.S. packaged‑foods company with a market capitalization of approximately $23.5 billion. This article explains what gis stock is, how the company operates, key trading identifiers, recent market and financial data, dividend policy, analyst coverage, risks, typical investor use cases, and where to verify up‑to‑date quotes. The guide is written for investors and traders at all levels and avoids investment recommendations.
Company background
General Mills, Inc. was founded in 1928 and is headquartered in Minneapolis, Minnesota. The company is a leading global packaged‑foods manufacturer with a broad portfolio across cereals, snacks, baking, yogurt and dairy, frozen meals, and pet food. Major consumer brands include Cheerios, Pillsbury, Betty Crocker, Häagen‑Dazs, Nature Valley, and Blue Buffalo (pet food). General Mills organizes its business into several operating segments, commonly reported as North America Retail, International, North America Pet, and Foodservice. Over decades the company has pursued both organic innovation and portfolio adjustments — including the strategic acquisition and integration of Blue Buffalo to expand its pet‑food exposure.
General Mills operates in a consumer‑defensive sector where stable demand and brand equity matter, but the company also faces cost pressure from ingredients and supply‑chain dynamics. The business model combines large‑scale manufacturing, brand marketing, retailer relationships, and global distribution.
Ticker and market identifiers
- Exchange and ticker: NYSE: GIS
- ISIN: US3703341046
- Primary trading currency: USD
- Common shorthand used by investors: GIS, General Mills
- As of January 24, 2026 major market data providers report shares outstanding in the range of ~610 million (check live sources for updates). Shares outstanding and float figures change over time due to buybacks and other corporate actions; investors should confirm the latest figures with a current quote service or company filings.
Trading information and market data
Key trading and market data points for gis stock as of January 24, 2026 (reported by market data services and news outlets):
- Market capitalization: approximately $23.5 billion (source: Barchart reporting)
- Recent price action: the stock has underperformed broader markets over the past 12 months (see Historical price performance below)
- 52‑week high / low: market data providers publish rolling 52‑week ranges that should be checked live; historical context is summarized in the next section
- Average daily trading volume: often measured in millions of shares per day; typical reported figures cluster in the low single‑digit to mid single‑digit million shares range on many trading platforms (verify with live quote vendors for exact values)
- Trading hours: NYSE regular session typically runs 09:30–16:00 Eastern Time (pre‑market and after‑hours sessions exist on many trading platforms but availability depends on the broker)
Note: the above figures are time‑sensitive. For trades, verify live quotes and consult your brokerage or platform (for Web3 wallet users or crypto‑native traders interested in fiat or tokenized exposure, Bitget and Bitget Wallet provide services and educational resources). This article does not offer trading instructions for a specific platform.
Historical price performance
Over multi‑year horizons, gis stock has shown the characteristics common to consumer staples equities: periods of steady performance and dividend reliability punctuated by episodic drawdowns tied to earnings misses, rising input costs, or portfolio changes. In the most recent 12‑month window, gis stock declined roughly 25%, underperforming the S&P 500 Index, which gained about 13.6% over the same timeframe, and the Consumer Staples Select Sector benchmark, which rose near 6.5% (source: Barchart reporting as of January 24, 2026).
Notable short‑term moves included a positive market reaction on December 17, 2025, when shares rose ~3.4% after General Mills reported fiscal 2026 second‑quarter results: revenue of about $4.9 billion (down 7% year‑over‑year) and adjusted EPS of $1.10, which beat analyst estimates. That report led the company to reaffirm a full‑year outlook, which markets interpreted as management confidence in stabilizing performance amid a challenging consumer demand environment.
Longer‑term investors often compare multi‑year total return, including dividends, versus peers in packaged foods and the broader staples sector. For precise peak and trough dates, historical price charts and data providers such as TradingView, Macrotrends, and other market data vendors provide daily OHLC (open/high/low/close) history and dividend‑adjusted series.
Financial summary and valuation metrics
The following financial snapshot is intended to summarize recent analyst expectations and reported metrics; all figures are subject to revision and should be cross‑checked with company filings and live financial services.
- Recent fiscal performance: In fiscal reporting cycles, General Mills reports revenue, operating income, and EPS. For fiscal 2026 second quarter (reported in December 2025) revenue was about $4.9 billion, down ~7% year‑over‑year; adjusted EPS was $1.10, beating consensus for that quarter (source: company release, summarized in market reports).
- Analyst EPS expectations (as reported by Barchart and consensus sources, Jan 24, 2026): analysts expect General Mills to report fiscal Q3 2026 EPS of approximately $0.84 per share (down ~16% from $1.00 in the year‑ago quarter). For the current fiscal year analysts project EPS near $3.65 (down ~13.3% from $4.21 in fiscal 2025), with a rebound to ~$3.74 in fiscal 2027 (a ~2.5% increase year‑over‑year from the fiscal 2026 estimate).
- Valuation multiples: trailing and forward P/E ratios, price‑to‑sales, and price‑to‑book vary across data providers and depend on the date of capture. Market participants compare GIS valuation multiples with peers in packaged foods and consumer staples to determine relative value — typical practice is to use trailing‑12‑month (TTM) and forward P/E alongside enterprise value/EBITDA for capital structure‑neutral comparisons.
How GIS compares to peers: General Mills is often compared with packaged‑food companies on metrics like revenue growth, margin profile, dividend yield, and return on invested capital. Typically, large packaged‑foods names trade at modest premiums or discounts relative to peers depending on growth expectations, margin trends, and perceived defensiveness.
Dividends and capital returns
General Mills maintains a long history of dividend payments and distribution to shareholders. Key dividend considerations for gis stock:
- Dividend policy: General Mills targets returning capital to shareholders through regular dividends and occasional share repurchases. The company has a long record of consecutive annual dividend payments and periodic increases, though the pace of raises reflects management priorities and financial performance.
- Recent dividend metrics: specific annual dividend, yield, and payout ratio change over time with price and earnings. As of January 24, 2026, refer to live quote services for the current annualized dividend and yield. Historical practice shows that dividends are declared on a quarterly basis, with common ex‑dividend and payment timing following the company’s announced schedule.
- Share repurchases: General Mills has engaged in buybacks historically; the pace and amount depend on cash flow, strategic alternatives, and capital allocation choices. When assessing dividend sustainability, investors consider adjusted earnings, free cash flow, and payout ratio.
Investors focused on income often evaluate gis stock for dividend yield, dividend growth history, and payout coverage. Confirm the most recent declared dividend and ex‑dividend date via the company investor relations site or a live market data provider.
Ownership and major holders
Ownership in gis stock is dominated by institutional investors, mutual funds, and ETFs, with smaller proportions held by insiders and retail investors. Institutional ownership is typically high among large cap consumer staples names, which contributes to liquidity and analyst coverage.
- Institutional ownership: Major fund families and index funds often appear among GIS’s largest holders (verify current institutional ownership percentages with a market data provider). High institutional ownership can support liquidity but also means price moves may reflect portfolio reallocations by large managers.
- ETFs and passive holders: GIS commonly appears in consumer staples and large‑cap US equity ETFs; those funds can be significant holders, thereby anchoring demand or contributing to flows tied to sector rotations.
- Insider ownership: Insiders (executives and board members) typically hold a relatively small percentage compared with institutions. Insider buying or selling can be monitored in regulatory filings for signals about management’s view of the business, though such activity should not be treated as investment advice.
For precise lists of the largest holders and percentages, check filings and data providers that report institutional ownership and major shareholders as of the date you review the stock.
Analyst coverage and market sentiment
As of January 24, 2026, analyst coverage for gis stock shows a predominantly cautious stance. Reported consensus data indicates:
- Coverage count and ratings mix: 20 analysts covering the stock — 3 rate it “Strong Buy,” 1 “Moderate Buy,” 13 “Hold,” and 3 “Strong Sell.” This distribution produces an overall consensus that leans neutral to cautious (source: Barchart reporting summary).
- Consensus price target: the mean price target reported around $53.63, which implied roughly a 20.5% upside from the price levels cited in the same reporting window. Analysts update targets and ratings based on quarterly results, margin outlook, and macro conditions.
- Recent trend: Analysts expected the company to report lower near‑term EPS (Q3 2026 consensus ~$0.84) but have noted recurring earnings beats — General Mills reportedly exceeded consensus in each of the prior four quarters before the Q3 estimate, an indicator of execution relative to analyst models.
Market sentiment is shaped by earnings beats/misses, cost and pricing dynamics, and guidance. The mixed analyst views reflect differing opinions on how headwinds (ingredient costs, soft consumer demand in certain categories) versus tailwinds (brand strength, pet‑food growth) will affect earnings and margins.
Trading mechanics, liquidity and derivatives
- Liquidity: gis stock typically trades millions of shares daily, which supports reasonable liquidity for institutional and retail orders. Average daily volume is provided by market data vendors and can change with market conditions.
- Options market: GIS has an actively traded options chain, allowing eligible traders to use calls, puts, spreads, and other derivatives strategies. Options open interest and implied volatility are useful for traders assessing near‑term sentiment around earnings and other catalysts.
- Short interest: Short interest and short float metrics indicate speculative or hedging activity; these measures are updated periodically and should be checked on a current basis via data providers.
- Index inclusion: General Mills is often included in large‑cap and consumer staples indices, and it is commonly present in sector ETFs that track consumer staples. Inclusion in indices contributes to baseline demand from passive funds.
When accessing gis stock or its derivatives, traders use brokerages or trading platforms. For users who engage with Web3 tools and crypto services alongside traditional equities, Bitget offers trading products and Bitget Wallet provides custody solutions for digital assets; always check the platform’s available products for equities, derivatives, or tokenized exposure before placing trades.
Recent news, catalysts and corporate actions
As of January 24, 2026, notable recent developments for General Mills include:
- Upcoming earnings: The company is slated to announce fiscal Q3 2026 earnings soon. Analysts expect EPS of about $0.84 per share for the quarter (down ~16% from $1.00 in the year‑ago quarter) but note General Mills’ recent record of exceeding consensus in the prior four quarters (source: Barchart reporting).
- Fiscal 2026 results and market reaction: On December 17, 2025 General Mills reported fiscal 2026 second‑quarter results with revenue near $4.9 billion (down ~7% YoY) and adjusted EPS of $1.10, which beat estimates. Shares rose ~3.4% on the report as investors reacted to the earnings beat and the company’s reinforced full‑year outlook.
- Strategic initiatives: Management continues to balance pricing actions, cost management, and portfolio adjustments (including integration of Blue Buffalo) to drive growth and margin stability. Cost pressures and investments in brand and capability remain watch points for analysts.
Investors and traders monitor quarterly earnings, management commentary, commodity cost trends (grains, dairy, etc.), retailer shelf dynamics, and pet‑food category trends as potential catalysts for GIS stock price movement.
Risks and considerations
Investing in or trading gis stock involves company‑specific and sector risks that market participants commonly consider:
- Consumer preference shifts: Evolving dietary trends, health preferences, and competition from private‑label and new entrants can affect demand for certain packaged‑food products.
- Commodity cost volatility: Price changes for key inputs (grains, dairy, oils, packaging) can pressure margins; the ability to pass costs to consumers varies by category.
- Retail customer concentration and trade terms: General Mills relies on major retailers and foodservice customers. Changes in retailer relationships, promotional dynamics, or shelf placement can influence sales.
- Competitive pressures: The packaged‑foods sector is competitive, with multinational and regional players vying for shelf space and consumer loyalty.
- Macroeconomic sensitivity: While consumer staples are defensive, discretionary patterns, inflation, and unemployment can still affect volumes and pricing dynamics.
- Supply‑chain and operational risks: Manufacturing disruptions, distribution constraints, and transportation costs are potential operational risks.
- Regulatory and food‑safety risks: Product recalls, regulatory changes, and labeling requirements can have financial and reputational impacts.
This list is not exhaustive. Investors should perform their own research, read company filings, and consult professional advisors as needed. This article does not provide investment advice.
How investors and traders typically use GIS
Common investor and trader profiles for gis stock include:
- Income investors: Attracted by a stable dividend history, income investors evaluate GIS for yield and payout stability.
- Value investors: Those seeking stable cash flows and brand strength may assess valuation multiples and relative value to peers.
- Sector ETF investors: GIS often appears in consumer staples and large‑cap ETFs, providing passive exposure.
- Event‑driven and earnings traders: Traders may use options or equity positions around earnings announcements and other catalysts.
- Long‑term buy‑and‑hold investors: Some investors prefer large, established brands with predictable cash flows for strategic allocation.
Ways to access GIS:
- Cash equity purchase via a brokerage platform (verify U.S. exchange and local regulatory availability).
- Options market for eligible traders using calls, puts, and spread strategies (requires options permissions).
- ETFs and mutual funds that hold GIS for diversified exposure.
For traders active in both traditional and cryptocurrency markets, Bitget and Bitget Wallet provide integrated educational resources and services in the crypto and Web3 space; consult Bitget for platform capabilities and supported instruments. Always confirm account eligibility, fees, and product availability before trading.
See also
- Packaged‑food peers commonly used for comparison: KHC (The Kraft Heinz Company), CPB (Campbell Soup Company), MDLZ (Mondelez International), CAG (Conagra Brands). Use ticker lookup on your market platform to compare metrics.
- Consumer staples sector performance and benchmarks.
- General Mills corporate page and investor relations for filings and official releases.
References and data sources
As of January 24, 2026, the figures and summaries above reference major market data providers and financial news outlets. Primary sources consulted for this article include General Mills investor relations releases and filings, Barchart market summaries, Yahoo Finance, Morningstar, CNBC market commentary, TradingView charts, Macrotrends historical series, Finviz stock snapshots, Robinhood and Markets Insider summaries (data points and analyst consensus summaries), and the Barchart article summarized below.
- As of January 24, 2026, according to Barchart reporting: General Mills has a market cap of approximately $23.5 billion; analysts expect fiscal Q3 2026 EPS of ~$0.84; fiscal 2026 EPS consensus ~ $3.65 (down 13.3% from $4.21 in fiscal 2025) with fiscal 2027 EPS expected to rise to ~$3.74. Over the past year GIS stock declined ~25% versus the S&P 500’s +13.6% and the Consumer Staples benchmark’s +6.5%. On Dec. 17, shares rose ~3.4% after fiscal 2026 second‑quarter results showing $4.9 billion revenue (down 7% YoY) and adjusted EPS $1.10, alongside a reaffirmed full‑year outlook. Analyst coverage summarized: out of 20 analysts, 3 Strong Buy, 1 Moderate Buy, 13 Hold, 3 Strong Sell; mean price target ~$53.63 (approx. 20.5% upside at the time of reporting). (Source summary: Barchart, reported Jan 24, 2026.)
Readers should verify the latest numbers with live market data and company filings; market metrics (market cap, shares outstanding, float, volume, price) change intraday.
Notes and disclaimers
- This article is informational and educational in nature. It is not investment advice, a recommendation to buy or sell securities, or a substitute for professional financial or tax advice.
- All price, yield, analyst consensus, and valuation figures are subject to change. Verify live market quotes and the company’s filings for the most current data.
- The article cites market data and analyst consensus as of January 24, 2026. For updated performance, financial metrics, and analyst coverage, consult the company’s investor relations site and current market data providers.
Further exploration: For investors interested in cross‑market research or combining traditional equity exposure with crypto‑native tools, explore Bitget’s educational resources and Bitget Wallet for custody and Web3 access. To track live quotes, dividends, and filings for gis stock, use your preferred market data provider and confirm dates and figures before making decisions.
Published date:
As of January 24, 2026 — data and reporting summarized from Barchart and other market data providers.
All sources were consulted for factual reporting; readers should cross‑reference the latest company filings and live market data before acting.


















