Acciones del sector de la protección del consumidor

#NombrePrecio24h %7d %1M %1A %CapitalizaciónÚltimos 7 días
837
COKE
Coca-Cola Consolidated, Inc. - Common Stock
173.72 USD-0.54%+2.99%-14.70%+52.72%11.56 B USD
857
CLX
Clorox Company Common Stock
92.39 USD-4.28%-2.54%-2.86%-29.53%11.17 B USD
861
SJM
The J.M. Smucker Company Common Stock
104.27 USD-0.02%+1.53%+7.88%+1.73%11.12 B USD
865
BJ
BJ's Wholesale Club Holdings, Inc. Common Stock
85.10 USD-1.47%-1.23%-7.29%-7.14%11.04 B USD
904
SFD
Smithfield Foods, Inc. - Common Stock
26.06 USD-1.29%-0.46%-1.62%+12.09%10.25 B USD
918
MICC
The Magnum Ice Cream Company N.V. Ordinary Shares
16.27 USD-0.61%+1.37%+14.66%+8.61%9.96 B USD
951
DAR
Darling Ingredients Inc. Common Stock
59.35 USD-0.49%+2.77%-1.90%+90.84%9.43 B USD
971
PRMB
Primo Brands Corporation Class A Common Stock
25.16 USD+9927.90%+6.84%+29.03%+36.52%9.13 B USD
1017
CELH
Celsius Holdings, Inc. - Common Stock
33.03 USD-0.45%+12.04%+1.94%-8.91%8.44 B USD
1046
SFM
Sprouts Farmers Market, Inc. - Common Stock
82.67 USD-4.64%-4.31%+9.51%-22.13%7.77 B USD
1052
ACI
Albertsons Companies, Inc. Class A Common Stock
15.47 USD-2.46%-4.68%-6.13%-29.90%7.65 B USD
1074
EDU
New Oriental Education & Technology Group Inc Sponsored ADR rep
46.48 USD+0.41%+0.04%-13.30%-24.50%7.35 B USD
1095
TAP
Molson Coors Beverage Company Class B Common Stock
39.90 USD-2.56%-5.47%-9.22%-12.13%7.09 B USD
1131
PPC
Pilgrim's Pride Corporation - Common Stock
28.12 USD-1.51%-1.40%-9.73%-42.60%6.69 B USD
1149
INGR
Ingredion Incorporated Common Stock
103.05 USD-0.11%+1.11%-8.49%-25.53%6.50 B USD
1160
CAG
ConAgra Brands, Inc. Common Stock
13.38 USD-0.59%-0.67%-3.88%-41.03%6.40 B USD
1165
CPB
The Campbell's Company - Common Stock
21.34 USD+2.60%+4.05%+4.66%-22.48%6.36 B USD
1201
HIMS
Hims & Hers Health, Inc. Class A Common Stock
26.13 USD+1.04%+8.97%-0.46%-50.18%6.05 B USD
1212
TAL
TAL Education Group American Depositary Shares
9.80 USD+0.51%-1.80%-9.51%-5.68%5.96 B USD
1214
LW
Lamb Weston Holdings, Inc. Common Stock
43.05 USD-1.08%+0.61%-0.30%-20.57%5.94 B USD