Titoli del Settore dei Beni di Consumo Difensivi

#NomePrezzo24h %7d %1M %1Y %Valore di MercatoUltimi 7 Giorni
835
COKE
Coca-Cola Consolidated, Inc. - Common Stock
173.90 USD-0.44%-1.41%-14.61%+52.88%11.58 B USD
861
CLX
Clorox Company Common Stock
91.80 USD-4.89%-3.75%-3.48%-29.98%11.10 B USD
865
SJM
The J.M. Smucker Company Common Stock
103.39 USD-0.86%-0.25%+6.97%+0.87%11.03 B USD
867
BJ
BJ's Wholesale Club Holdings, Inc. Common Stock
84.47 USD-2.20%-5.85%-7.97%-7.82%10.95 B USD
900
SFD
Smithfield Foods, Inc. - Common Stock
26.00 USD-1.52%-0.61%-1.85%+11.83%10.23 B USD
913
MICC
The Magnum Ice Cream Company N.V. Ordinary Shares
16.35 USD-0.12%+2.19%+15.22%+9.15%10.01 B USD
950
DAR
Darling Ingredients Inc. Common Stock
59.30 USD-0.57%+2.24%-1.98%+90.68%9.42 B USD
979
PRMB
Primo Brands Corporation Class A Common Stock
24.79 USD+9780.43%+7.27%+27.13%+34.51%9.00 B USD
1011
CELH
Celsius Holdings, Inc. - Common Stock
33.04 USD-0.42%+11.21%+1.98%-8.88%8.45 B USD
1042
SFM
Sprouts Farmers Market, Inc. - Common Stock
83.42 USD-3.77%-1.70%+10.50%-21.43%7.85 B USD
1048
ACI
Albertsons Companies, Inc. Class A Common Stock
15.64 USD-1.39%-5.10%-5.10%-29.13%7.73 B USD
1077
EDU
New Oriental Education & Technology Group Inc Sponsored ADR rep
46.33 USD+0.09%+0.06%-13.58%-24.74%7.32 B USD
1092
TAP
Molson Coors Beverage Company Class B Common Stock
39.98 USD-2.37%-5.66%-9.03%-11.96%7.11 B USD
1122
PPC
Pilgrim's Pride Corporation - Common Stock
28.32 USD-0.81%-1.29%-9.09%-42.19%6.74 B USD
1149
INGR
Ingredion Incorporated Common Stock
102.44 USD-0.70%+0.94%-9.03%-25.97%6.46 B USD
1164
CAG
ConAgra Brands, Inc. Common Stock
13.15 USD-2.30%-1.87%-5.53%-42.04%6.29 B USD
1176
CPB
The Campbell's Company - Common Stock
20.85 USD+0.24%+3.58%+2.26%-24.26%6.22 B USD
1212
LW
Lamb Weston Holdings, Inc. Common Stock
42.81 USD-1.63%-0.02%-0.86%-21.01%5.91 B USD
1216
TAL
TAL Education Group American Depositary Shares
9.67 USD-0.82%+0.31%-10.71%-6.93%5.88 B USD
1232
HIMS
Hims & Hers Health, Inc. Class A Common Stock
24.61 USD-4.83%+2.29%-6.25%-53.08%5.70 B USD