Kraft Heinz Co. (KHC) (Q2FY23)
Stock performance: Kraft Heinz stock gave returns of -8.7% and -2.4% in the period of three months and one year. The stock has a 52-week high of $42.80 and a 52-week low of $32.42. The stock gave returns of 9.2% and CAGR of 3% over a period of three years. The stock had a 200-Day Moving Average of $37.98 and a 50-Day Moving Average of $34.58.
Quarter Performance: In Q2FY23, net sales increased 2.6% to $6.72bn, compared to $6.55bn in Q2FY22, including a negative 1.2 percentage point impact from foreign currency and a negative 0.2 percentage point impact from acquisitions and divestitures. Organic Net Sales increased 4.0% versus the prior year period.
Guidance: For FY23, KHC expects its organic net sales growth to be 4%-6% and its constant Currency adj. EBITDA to be in the range of 6% to 8% when excluding the impact from lapping the 53rd week in FY22. The adj. EPS is expected to be in the range of $2.83-$2.91.The adj. tax rate is expected to be 19% -21%.
Kraft Heinz is making investments in marketing, research and development (R&D), and technology to support this growth. In Q2FY23, the company increased its marketing spending by 23% Y/Y and received recognition for its marketing campaigns.
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– Enterprise Value
– CrispIdea Forecast
– CrispIdea Segment Forecast
– Economic Value Added Analysis
– Discounted Cash Flow Analysis
– P/E Analysis
– Peer Valuation
– CrispIdea Forecast Relative to Consensus
– Consensus History and Surprise
– Consensus Momentum
Actual & Historical Performance
– Income Statement
– Balance Sheet
– Cash Flow
– 10 Year Historical Performance
– Ratio Analysis
– Du Pont Analysis
– ROIC & ROCE Analysis
– Segment Performance
– Key Metrics
– M&A Deals
– Price Performance
Stock Price Performance
No of Pages: 39
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