Conagra Brands stock (US2058871029): Shares acquired by Virginia Retirement Systems
14.05.2026 - 20:41:39 | ad-hoc-news.deConagra Brands stock saw institutional interest as Virginia Retirement System and other investors acquired shares, according to a filing dated May 14, 2026, from MarketBeat as of 05/14/2026. The stock gained 0.643% on May 13, 2026, closing at $14.09 from $14.00 on the NYSE, per StockInvest.us as of 05/14/2026. Conagra also maintains a quarterly dividend of $0.35 per share, with an ex-dividend date of April 30, 2026.
As of: 14.05.2026
By the editorial team – specialized in equity coverage.
At a glance
- Name: Conagra Brands, Inc
- Sector/industry: Consumer Staples / Packaged Foods
- Headquarters/country: Chicago, Illinois, USA
- Core markets: United States, Canada
- Key revenue drivers: Frozen, refrigerated and shelf-stable foods
- Home exchange/listing venue: NYSE (CAG)
- Trading currency: USD
Official source
For first-hand information on Conagra Brands, visit the company’s official website.
Go to the official websiteConagra Brands: core business model
Conagra Brands, Inc. is a leading branded food company that manufactures and markets packaged foods under well-known brands. The company offers a broad portfolio of shelf-stable, frozen, and refrigerated foods, including brands like Birds Eye, Marie Callender's, Healthy Choice, and Hunt's. Headquartered in Chicago, Illinois, Conagra generates the majority of its revenue from the US market, making it a key player for American retail investors seeking exposure to consumer staples.
Conagra Brands reported revenue of $2.79 billion for its most recent quarter discussed in filings as of May 14, 2026, alongside a return on equity of 10.15%, per MarketBeat as of 05/14/2026. The firm focuses on innovation in convenient foods, aligning with US consumer trends toward quick-prepare meals.
Main revenue and product drivers for Conagra Brands
Conagra Brands derives core revenue from grocery retail channels, with frozen foods and snacks as primary categories. Key products include single-serve meals, snacks, and pantry staples sold through major US supermarkets and club stores. The company's portfolio caters to everyday US household needs, benefiting from stable demand in the consumer staples sector.
In the trailing period reported as of May 14, 2026, Conagra posted a net margin of -0.39% but maintained a market cap of $6.74 billion, with shares trading between a 12-month low of $13.60 and high of $23.37, according to MarketBeat as of 05/14/2026. Dividend payments remain a draw, with a $0.35 quarterly payout implying a high annualized yield.
Industry trends and competitive position
The US packaged foods industry faces shifting consumer preferences toward healthier options, where Conagra Brands competes with peers like General Mills and Kraft Heinz. Conagra participates in growing segments like granola and cheese sauces, with the granola market valued at $4.6 billion in 2026 per a Future Market Insights report dated May 14, 2026, listing Conagra Foods among contributors.
Conagra's scale in frozen foods provides a competitive edge in the US market, supported by strong brand recognition and distribution networks.
Why Conagra Brands matters for US investors
As a NYSE-listed consumer staples name, Conagra Brands offers US investors defensive exposure to essential foods amid economic volatility. Its products permeate American grocery aisles, tying performance to US consumer spending patterns.
Read more
Additional news and developments on the stock can be explored via the linked overview pages.
Conclusion
Conagra Brands continues to attract institutional buying, as evidenced by recent acquisitions from Virginia Retirement System, while sustaining its dividend amid a recent share price uptick. The company's entrenched position in US packaged foods supports steady operations, though margins reflect industry pressures. Investors track its adaptation to health trends and quarterly performance for ongoing insights.
Disclaimer: This article does not constitute investment advice. Stocks are volatile financial instruments.
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