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unfi stock — United Natural Foods (UNFI) Overview

unfi stock — United Natural Foods (UNFI) Overview

A comprehensive, beginner-friendly Wiki guide to UNFI (NYSE: UNFI) covering company business, ticker/listing details, historical and recent stock performance, financial and market metrics, major co...
2024-07-05 10:13:00
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Article rating
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United Natural Foods, Inc. (UNFI) — Stock

unfi stock refers to shares of United Natural Foods, Inc., a U.S.-based wholesale distributor and retailer of natural, organic and specialty foods traded on the New York Stock Exchange under the ticker UNFI. This article explains what UNFI does, key listing and market details, historical and recent stock performance, financial metrics investors watch, major corporate events that moved the share price, business strategy and risks, and practical sources to follow the unfi stock and company filings. Readers will gain a structured reference to research unfi stock and next steps to monitor the company via investor relations and trading platforms such as Bitget.

Company overview

United Natural Foods, Inc. (UNFI) is a wholesale distributor of natural, organic and specialty foods and related products. The company's core activities include food distribution to independent and chain retailers, sales to food service customers, and branded and private-label product manufacturing and packaging. UNFI's product categories cover groceries, fresh produce, dairy, frozen foods, beverage, supplements, and health-and-wellness items.

UNFI operates distribution centers across the United States and Canada, servicing a mix of customer channels: independent natural-food retailers, regional and national grocery chains, e-commerce grocery and foodservice operators, and private-label customers. Over time, UNFI has pursued scale through acquisitions, network optimization, and expansion of private-label offerings. For many investors who focus on consumer staples, supply-chain dynamics, or retail grocery distribution, unfi stock represents exposure to natural- and specialty-food distribution combined with operational leverage and margin sensitivity to freight, labor, and commodity costs.

Ticker and listing information

  • Ticker symbol: UNFI (commonly referenced when tracking unfi stock)
  • Exchange: New York Stock Exchange (NYSE)
  • Trading hours: Regular US equity market hours (09:30–16:00 ET) plus pre/post-market sessions where applicable
  • Common identifiers: ISIN and CUSIP are available in official filings and on stock data providers; investors should reference company investor relations or SEC filings for exact identifiers
  • Market capitalization: market cap fluctuates with price and shares outstanding; as a figure cited in market reports and data portals, market cap is an essential aggregation used when tracking unfi stock

截至 2026-01-25,据 Yahoo Finance 报道,unfi stock's market capitalization and trading metrics are displayed on public financial portals and updated in real time; investors should consult the UNFI investor relations site or major data providers for the latest numbers.

Historical stock performance

This section outlines long-term trends and recent performance for unfi stock, with pointers on where to find historical price charts and data.

Long-term price history and major inflection points

  • Multi-year trend: unfi stock has experienced long-term volatility driven by sector dynamics (grocery demand, consolidation), major corporate events (acquisitions, integration of businesses), and macroeconomic cycles. Over a multi‑year horizon, the stock has moved through phases of growth, contraction, and recovery tied to operational results and balance-sheet developments.

  • Notable inflection points: historically, company earnings releases, large acquisitions or divestitures, material supply-chain disruptions, and debt refinancing events have produced marked price moves in unfi stock. Long-term all-time highs and lows for unfi stock are documented in historical price databases and charting services; readers can consult specialized data providers for exact dates and price levels.

  • Sources for long-term data: historical daily, weekly, and monthly prices for unfi stock are available from financial portals and chart archives (price history and adjusted close series) that can be used to compute returns, drawdowns and identify multi-year patterns.

Recent performance (past 12–24 months)

  • Short-term drivers: over the past 12–24 months, unfi stock performance was shaped by quarterly earnings vs. expectations, progress on cost-savings or synergies from strategic initiatives, inventory and working-capital dynamics, commodity cost pressures, and interest-rate effects on corporate borrowing costs.

  • 52‑week range: the 52-week high and low for unfi stock are updated continuously by market data providers; when reviewing recent performance, track those levels as short-term reference points.

截至 2026-01-25,据 UNFI Investor Relations 报告与公开市场数据,recent volatility in unfi stock reflected investor focus on operational execution and balance-sheet metrics following recent quarters.

For near-real-time charts, tracking the unfi stock quote on trading platforms and charting services helps identify momentum, support/resistance levels, and volume patterns.

Key market and trading data

Investors monitor several market and trading statistics when analyzing unfi stock. Below are commonly referenced items and what they mean:

  • Volume and average volume: daily traded shares and average daily volume over 30- or 90-day windows show liquidity and investor interest in unfi stock.
  • Float and shares outstanding: the free-float shares available to public investors versus total shares outstanding; changes may result from share issuance or buybacks and affect supply dynamics for unfi stock.
  • Short interest: the number (or percent of float) of shares sold short indicates bearish bets or hedging activity on unfi stock; high short interest can increase volatility around company catalysts.
  • Beta: a statistical measure of volatility relative to the broader market; unfi stock's beta shows sensitivity to market swings.
  • Bid-ask spreads and order-book depth: for active traders, spreads impact transaction costs when buying or selling unfi stock.

All the above metrics are accessible via market-data providers; for precise, up‑to‑date figures on unfi stock, consult trading platforms or official market-data feeds.

Financial metrics and valuation

Key financial metrics used by investors to assess unfi stock include revenue, profitability, margins, and valuation multiples. Given UNFI's role as a distributor and retailer, gross margin, operating margin, and working-capital metrics are especially relevant.

Common valuation and financial ratios for unfi stock analysis:

  • Revenue and revenue growth: annual and quarterly topline figures indicate the scale and growth trajectory of UNFI’s distribution and retail revenues.
  • Net income (or loss) and adjusted EBITDA: profitability measures used to assess operating performance and to compare against peers.
  • Gross margin and operating margin: for distributors like UNFI, margin trends show pricing power, product mix, and cost management effectiveness.
  • Price-to-earnings (P/E) ratio: applicable when UNFI reports positive earnings; for periods with losses, alternative measures like EV/EBITDA or price/sales may be more informative.
  • Enterprise value (EV) and EV-based multiples: EV/EBITDA or EV/Sales compare unfi stock valuation on a capital-structure-neutral basis.
  • Price-to-book (P/B) and price-to-sales (P/S): cross-sectional valuation tools that are useful when comparing unfi stock with peers.
  • Leverage and debt metrics: total debt, net debt (debt less cash), debt/EBITDA and interest-coverage ratios indicate balance‑sheet strength and refinancing risk.

Recent quarterly / trailing-twelve-month indicators

  • Latest revenue and profitability: the most recent quarter and trailing-twelve-month (TTM) aggregates show current operating momentum; for unfi stock, analysts look for trends in sales mix, private-label performance, and margin recovery.
  • Cash flow and working capital: distributor businesses can have significant working-capital swings; cash-flow generation and inventory turns materially affect unfi stock's perceived financial health.

截至 2026-01-25,据 company filings and quarterly reports, investors monitoring unfi stock should prioritize the latest 10-Q and press-release tables for concrete revenue and margin figures for each reported quarter.

Corporate actions and capital structure

Corporate actions that affect unfi stock ownership and per-share metrics include share issuances, stock buybacks, dividends (if any), and major debt transactions.

  • Outstanding shares and share-count trends: changes in diluted shares outstanding alter per-share calculations and should be monitored in UNFI’s quarterly reports.
  • Buybacks and issuance: material buyback programs reduce float and can support unfi stock, while equity issuances dilute shareholders and may be used to fund acquisitions or reduce leverage.
  • Debt and refinancing: large debt balances or covenant terms have direct implications for leverage and financial flexibility; refinancing at higher interest rates or covenant breaches can pressure unfi stock.

Significant past corporate events — such as major acquisitions or divestitures — can cause step changes in UNFI’s capital structure and business scope, which in turn influence the outlook for unfi stock.

Major corporate events and news affecting the stock

UNFI’s share price has historically reacted to material corporate events and news items. When researching unfi stock, look for the following categories:

  • Acquisitions and divestitures: announcements of major M&A deals, asset sales, or strategic partnerships can change scale and margin profiles.
  • Earnings surprises: quarterly results beating or missing consensus estimates tend to produce immediate moves in unfi stock.
  • Operational disruptions: distribution-center incidents, supplier disruptions, or logistics bottlenecks can affect service levels and margins.
  • Cybersecurity incidents: as with many retail and distribution firms, data breaches or operational outages are material; any reported security incidents should be considered when assessing unfi stock’s operational risk.
  • Regulatory and compliance events: actions affecting food safety, labeling, or trade policy may affect costs or product availability.

截至 2026-01-25,据 public filings and press releases, investors tracking unfi stock will want to monitor the company’s news feed and 8-K filings for timely disclosure of events that could materially affect the business.

Business strategy and segments relevant to investors

UNFI’s strategy centers on scale in distribution, margin expansion through private label and value-added services, and operational efficiency in its logistics network. Key strategic themes that matter for unfi stock include:

  • Distribution network optimization: improving fill rates, reducing logistics costs, and increasing throughput to support margin recovery.
  • Private-label expansion and product mix: private-label and higher-margin specialty products can lift gross margins, which is a driver for unfi stock valuation.
  • Services to retailers and foodservice: value-added services (packaging, category management, analytics) can create differentiated revenue streams.
  • Cost management and synergies: especially after acquisitions, realization of synergies is often a milestone that affects investor sentiment toward unfi stock.

Business risks tied to the strategy and that influence unfi stock valuation include dependence on freight and labor markets, margin sensitivity to product mix, and competitive pressures from other distributors and direct-to-retailer supply chains.

Competitors and market position

Principal competitors and peers in the grocery and specialty-food distribution space include national and regional food distributors, wholesale cooperatives for independent grocers, and private-label manufacturers. When benchmarking unfi stock, compare scale, margin, revenue mix, and distribution footprint to industry peers.

Competitive strengths for UNFI can include a broad product assortment, existing customer relationships in specialty and natural foods, and nationwide distribution infrastructure. Weaknesses may include exposure to low-margin commodity categories and the capital intensity of logistics operations — all factors that bear on expected returns from unfi stock.

Analyst coverage and investor sentiment

  • Analyst ratings: sell/hold/buy ratings and price targets published by sell-side analysts help form consensus views on unfi stock; coverage may vary in frequency and depth.
  • Institutional ownership: the percentage of shares held by institutions and major funds is a proxy for professional investor interest in unfi stock.
  • Retail interest and social sentiment: trading activity and retail interest can create short-term volatility in unfi stock, especially around earnings or company news.

For concrete analyst numbers and consensus estimates tied to unfi stock, reference sell-side reports and aggregated analyst-data services on major financial portals.

Risks and considerations for investors

This neutral summary emphasizes principal risks that could affect unfi stock performance:

  • Operational and supply-chain risk: distribution businesses are exposed to logistics disruptions, inventory imbalances, and warehouse outages.
  • Leverage and refinancing risk: high debt levels relative to EBITDA can increase vulnerability to interest-rate rises and reduce strategic flexibility, influencing unfi stock downside.
  • Margin pressure and commodity inflation: food-cost inflation or adverse product-mix shifts can compress margins.
  • Competitive risk: shifts in retailer procurement strategies or entry by competitors can erode market share.
  • Cybersecurity and compliance: incidents affecting operations or data privacy can trigger material costs and reputational damage, affecting unfi stock.

This section does not provide investment advice; rather, it summarizes factors commonly assessed by market participants when analyzing unfi stock.

How to research and follow the stock

Investors and researchers commonly use the following primary sources and tools to track unfi stock and UNFI’s corporate disclosures:

  • UNFI Investor Relations site and SEC filings (10-K for annual reports, 10-Q for quarters, 8-K for material events): primary sources for audited financials and official disclosures relevant to unfi stock.
  • Major financial data portals and charting services: provide real-time quotes, historical price data, volumes, analyst estimates and consensus figures for unfi stock.
  • Company press releases and earnings-call transcripts: give management perspectives and forward-looking commentary that influence short-term sentiment on unfi stock.
  • Regulatory filings and credit documents: when available, bond and loan agreements, as well as credit-rating reports, shed light on leverage and covenant risks affecting unfi stock.

For active traders or investors, setting up alerts on company filings or on price and volume thresholds for unfi stock helps track material developments.

See also

  • Food distribution industry overview
  • Grocery wholesale and private label trends
  • Stock-market basics: market capitalization, valuation multiples and liquidity

References and external links

Sources consulted and commonly used to monitor unfi stock (listed by name — consult each source directly for the latest figures):

  • UNFI Investor Relations — Stock Info and SEC filings (UNFI investor relations site)
  • Yahoo Finance — UNFI quote and data
  • MacroTrends — UNFI historical prices and charts
  • Finviz — UNFI profile and fundamentals
  • TradingView — UNFI interactive charting
  • Broker and trading platform quotes (real-time market data feeds)

截至 2026-01-25,据 Yahoo Finance 和 UNFI Investor Relations 的公开资料,readers should verify live numbers on these primary sources when assessing unfi stock.

Practical next steps for readers interested in unfi stock

  • Review the latest 10-Q and most recent earnings presentation on UNFI’s investor relations site to get verified revenue, margin and cash-flow figures for the latest reporting period.
  • Monitor the next scheduled earnings release and conference call for management commentary that can affect unfi stock.
  • Check updated market metrics (market cap, average daily volume, and short interest) via a trusted market-data terminal or trading platform before placing trades.
  • For traders and investors using centralized services, consider executing trades or monitoring unfi stock via Bitget; for Web3 wallet needs, Bitget Wallet is recommended for integrated portfolio monitoring.

进一步探索 UNFI’s filings and market data will give a clearer, up‑to‑date picture of performance drivers behind unfi stock. Use primary company disclosures and reputable market-data services for verification before making any investment-related decisions.

Note: This article is neutral, informational, and not investment advice. For precise, up‑to‑date quantitative figures (market cap, daily volume, 52-week high/low, current price, exact ISIN/CUSIP), consult UNFI’s investor relations materials and live market-data platforms as of the reporting date cited above.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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