Stock Ideas
Stocks
Funds
Screener
Sectors
Watchlists
ACI

ACI - Albertsons Cos Inc Stock Price, Fair Value and News

19.75USD-0.14 (-0.70%)Delayed as of 02 Jul 2024, 01:18 pm ET

Market Summary

ACI
USD19.75-0.14
Delayedas of 02 Jul 2024, 01:18 pm
-0.70%

ACI Stock Price

View Fullscreen

ACI RSI Chart

ACI Valuation

Market Cap

11.5B

Price/Earnings (Trailing)

8.86

Price/Sales (Trailing)

0.14

EV/EBITDA

6.26

Price/Free Cashflow

4.32

ACI Price/Sales (Trailing)

ACI Profitability

Operating Margin

27.82%

EBT Margin

2.23%

Return on Equity

47.17%

Return on Assets

4.94%

Free Cashflow Yield

23.17%

ACI Fundamentals

ACI Revenue

Revenue (TTM)

79.2B

Rev. Growth (Yr)

0.41%

Rev. Growth (Qtr)

-1.17%

ACI Earnings

Earnings (TTM)

1.3B

Earnings Growth (Yr)

-19.48%

Earnings Growth (Qtr)

-30.69%

Breaking Down ACI Revenue

52 Week Range

19.7422.26
(Low)(High)

Last 7 days

0.1%

Last 30 days

-3.7%

Last 90 days

-5.7%

Trailing 12 Months

-8.9%

How does ACI drawdown profile look like?

ACI Financial Health

Current Ratio

0.84

Debt/Equity

2.83

Debt/Cashflow

0.34

ACI Investor Care

Dividend Yield

2.41%

Dividend/Share (TTM)

0.48

Shares Dilution (1Y)

0.60%

Diluted EPS (TTM)

2.23

Historical Charts for Stock Metrics

Get all data in R, Python etc through our Historical Stock Data APIs
Net sales
YearQ1Q2Q3Q4
202479.2B000
202377.6B78.4B78.8B79.2B
202271.9B73.9B75.3B76.8B
202169.7B68.2B69.0B70.3B
202062.5B66.5B68.0B69.4B
201960.5B60.6B60.8B61.0B
201859.9B60.1B60.3B60.6B
201759.7B59.7B59.7B59.7B
201658.7B58.9B59.3B59.5B
201527.2B000
GRUFITY'S FAIR VALUE MODEL

Stocks Marked 'Very Cheap' by Grufity's Fair Value Model Have Outperformed S&P 500 Index

Grufity's Fair Value model takes all the S&P 500 stocks and divides them into separate buckets based on their attractiveness. The 'Very Cheap' bucket of S&P 500 has greatly outperformed S&P 500 Index. Conversely, S&P500 stocks considered 'Very Expensive' by the model underperformed the S&P500 index in the past three years. Grufity Fair Value is available for 2300+ stocks, including 90% of S&P 500 stocks. Grufity's Fair Value Model separates high-return stocks from low-return stocks.

PurpleZone


Returns of $10,000 invested in:

Very Cheap Stocks: $17,289
S&P 500 Index: $12,922
Very Expensive Stocks: $11,022


Grufity's Fair Value model does a great job in separating High Performing Stocks from Low Performing ones in the S&P 500 list.

S&P 500 Index
Very Expensive Stocks
Very Cheap Stocks
Try For Just $1.99

Tracking the Latest Insider Buys and Sells of Albertsons Cos Inc

Filter Transactions
Datesorted ascendingNameBuy/Sell$ ValueAvg. Price# SharesTitle
May 01, 2024
larson robert bruce
sold
-493,087
20.24
-24,362
svp & chief accounting officer
Apr 30, 2024
dhanda anuj
sold
-2,035,000
20.35
-100,000
chief tech &transformation off
Apr 22, 2024
larson robert bruce
acquired
-
-
27,625
svp & chief accounting officer
Apr 22, 2024
mccollam sharon
sold (taxes)
-2,015,960
21.44
-94,028
president & cfo
Apr 22, 2024
theilmann michael t
acquired
-
-
99,982
evp & chief hr officer
Apr 22, 2024
sankaran vivek
back to issuer
-
-
-6,456
chief executive officer
Apr 22, 2024
morris susan
acquired
-
-
179,290
evp & chief operations officer
Apr 22, 2024
gajial omer
acquired
-
-
39,466
evp chief merch & digital off.
Apr 22, 2024
theilmann michael t
sold (taxes)
-843,514
21.44
-39,343
evp & chief hr officer

1–10 of 50

Which funds bought or sold ACI recently?

View All Details
Datesorted ascendingFund NameType% Chg$ Change$ Held% Portfolio
Jun 28, 2024
Quent Capital, LLC
added
2.38
-1,579
33,193
-%
Jun 11, 2024
EverSource Wealth Advisors, LLC
added
20.54
1,602
24,786
-%
Jun 04, 2024
DekaBank Deutsche Girozentrale
added
10.43
483,000
25,917,000
0.05%
May 28, 2024
Boston Partners
reduced
-7.19
-463,788
2,976,640
-%
May 24, 2024
Cetera Investment Advisers
new
-
482,262
482,262
-%
May 20, 2024
BLUEFIN CAPITAL MANAGEMENT, LLC
added
560
1,780,500
2,125,350
0.33%
May 20, 2024
Highlander Capital Management, LLC
sold off
-100
-17,250
-
-%
May 20, 2024
Strategic Wealth Partners, Ltd.
sold off
-100
-262,982
-
-%
May 16, 2024
JANE STREET GROUP, LLC
reduced
-68.15
-12,904,600
5,449,120
-%
May 16, 2024
Brown Shipley& Co Ltd
new
-
192,574
192,574
0.06%

1–10 of 37

Are Funds Buying or Selling ACI?

Are funds buying ACI calls or puts?
Calls
Puts
No. of funds holding Calls - Puts
Net Call Options
No. of funds that own ACI
No. of Funds

Unveiling Albertsons Cos Inc's Major ShareHolders

Date FiledName of FilerPercent of ClassNo. of SharesForm Type
Feb 14, 2024
cerberus capital management, l.p.
26.4%
151,818,680
SC 13G/A
Feb 13, 2024
vanguard group inc
5.70%
32,824,226
SC 13G
Mar 10, 2023
klaff realty lp
2.2%
13,258,114
SC 13G/A
Feb 27, 2023
hps investment partners, llc
0.0%
0
SC 13D/A
Feb 14, 2023
cerberus capital management, l.p.
25.7%
151,818,680
SC 13G/A
Feb 16, 2021
cerberus capital management, l.p.
32.6%
151,818,680
SC 13G
Jul 09, 2020
hps investment partners, llc
6.6%
33,909,372
SC 13D
Jul 09, 2020
hps investment partners, llc
6.6%
33,909,372
SC 13D

Recent SEC filings of Albertsons Cos Inc

View All Filings
Date Filed Form Type Document
Jun 21, 2024
ARS
ARS
Jun 21, 2024
DEF 14A
DEF 14A
Jun 21, 2024
DEFA14A
DEFA14A
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading
May 14, 2024
4
Insider Trading

Peers (Alternatives to Albertsons Cos Inc)

NameMkt Capsorted ascendingRevenuePrice %, 1MReturns, 1YP/EP/SRev 1-YrInc 1-Yr
LARGE-CAP
30.0B
91.7B
-2.88% -19.75%
9.86
0.33
-10.07% -31.73%
15.0B
61.3B
-0.26% 13.74%
7.7
0.25
-8.91% 30.43%
13.5B
12.1B
-5.25% -16.04%
14.22
1.12
-0.78% 18.26%
13.5B
9.4B
1.98% -0.19%
18.28
1.44
1.46% -5.86%
11.5B
79.2B
-3.68% -8.89%
8.86
0.14
2.05% -14.37%
MID-CAP
7.6B
1.8B
-0.40% 58.31%
39.48
4.1
23.06% 29.48%
6.2B
823.2M
-1.65% 96.02%
639.21
7.59
30.53% 114.65%
4.7B
5.1B
-5.17% -11.50%
36.98
0.91
4.66% -41.11%
3.1B
2.4B
1.85% 39.58%
11.1
1.29
-22.17% -63.60%
2.5B
3.3B
-10.68% 27.83%
17.18
0.77
1.49% 31.18%
SMALL-CAP
1.7B
13.6B
-7.36% 5.07%
13.61
0.12
-21.14% 9.65%
628.5M
2.0B
-16.56% -41.69%
-5.72
0.31
-5.45% -247.51%
437.3M
326.7M
-11.20% -48.07%
-1.31
1.34
-18.66% -2.70%
198.8M
98.6M
-2.88% 2.12%
4.98
2.02
210.58% 236.17%
6.2M
2.6M
-7.43% 362.86%
-0.19
2.45
-0.77% -36.97%

Albertsons Cos Inc News

Latest updates
Defense World30 Jun 202407:18 am

Albertsons Cos Inc Earnings Report: Key Takeaways & Analysis

Income Statement (Last 12 Months)
(In Millions)
Income Statement (Quarterly)
(In Millions)
(*) denotes actual numbers (not divided by Millions)
Description(%) Q/Q2024Q12023Q42023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q1
Revenue-1.2%18,34018,55718,29124,05018,26518,15517,91923,31017,38416,72816,50621,26915,77215,40915,75822,75215,43714,10314,17718,73814,017
Cost Of Revenue-1.2%13,19513,36013,24917,38813,18113,03312,91516,76512,39911,89811,78915,07811,21310,90011,18315,98011,01910,10810,23513,4999,958
Gross Profit-1.0%5,1445,1975,0426,6635,0845,1225,0056,5454,9844,8304,7176,1914,5604,5094,5756,7724,4183,9953,9425,2404,059
  S&GA Expenses2.4%4,7174,6074,5966,0134,7124,5324,4885,8644,3224,2444,2315,5044,7264,3094,0315,7694,0943,8073,7954,9473,792
EBITDA Margin-0.9%0.04*0.04*0.04*0.04*0.05*0.05*0.04*0.05*0.04*0.04*0.04*0.04*---------
Interest Expenses6.3%-109-116-111-154-91.60-84.30-89.80-138-108-111-109-153-113-115-128-180-140-154-177-225-168
Income Taxes-32.4%64.0095.0068.0066.0040.0012111714314998.00100133-64.1030.0011120222.0013.0082.0016.001.00
Earnings Before Taxes-100.0%-457334483-496460628-523396577-153396788-68.0037765.00137
EBT Margin-0.1%0.02*0.02*0.02*0.03*0.03*0.03*0.03*0.03*0.02*0.02*0.02*0.03*---------
Net Income-30.7%251361267417311376343484455425295445-14412428558668.0055.0029549.00136
Net Income Margin-4.6%0.02*0.02*0.02*0.02*0.02*0.02*0.02*0.02*0.02*0.01*0.01*0.01*---------
Free Cashflow142.5%9293835108387824206609927316451,0791,059496-91.652621,725-----
Balance Sheet
(In Millions)
Balance Sheet
(In Millions)
(*) denotes actual numbers (not divided by Millions)
Description(%) Q/Q2024Q12023Q42023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q1
Assets-1.0%26,22126,49726,32325,81726,16830,21528,75428,22028,12327,93627,34426,78226,59826,31926,47025,98824,73524,99224,69924,98120,777
  Current Assets-5.6%6,2886,6626,4226,0616,27010,6869,2658,6788,3668,3807,9887,3786,9887,4447,5797,1335,7315,9805,6315,9076,250
    Cash Equivalents-15.3%1892232662254564,4203,4003,2642,9532,7122,9002,2241,7681,8872,4322,065479417465714968
  Inventory-4.5%4,9455,1765,0484,8454,7825,0554,7464,5734,5014,6714,1794,2724,3014,6384,2674,2724,3534,6244,3404,3854,333
  Net PPE------9,0939,0799,0709,3509,2499,2019,2959,4139,0869,1109,1049,2129,2229,2319,6639,861
  Goodwill0%1,2011,2011,2011,2011,2011,2011,2011,2011,2011,2011,2001,2011,1831,1831,1831,1831,1831,1831,1831,1831,183
  Current Liabilities-5.1%7,4587,8587,9247,7238,42913,3098,2457,9128,3497,4617,0706,7046,8326,5976,7286,7505,9045,9725,7305,7155,153
  Long Term Debt-0.2%7,7837,7977,8117,8257,8347,0927,1077,1217,1367,9168,1298,1468,1018,3288,4608,4858,4938,6168,6299,68910,438
Shareholder's Equity8.7%2,7482,5272,2172,0001,6118194,3874,0713,0252,3111,9601,6981,3241,3751,5021,1952,2782,4112,3462,0541,451
  Retained Earnings27.9%828648356160-185-4173,2402,9722,5652,1871,8461,6251,2631,4811,4321,175592525470175-431
  Additional Paid-In Capital1.0%2,1302,1092,0902,0682,0732,0772,0231,9982,0321,9461,9361,9111,8991,8841,8761,8371,8241,8241,8191,8131,811
Shares Outstanding-0.1%575576575574529525532513470465465465---------
Float---9,900---4,800---2,900---1,400------
Cashflow (Last 12 Months)
(In Millions)
Cashflow (Quarterly)
(In Millions)
(*) denotes actual numbers (not divided by Millions)
Description(%) Q/Q2024Q12023Q42023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q1
Cashflow From Operations142.5%9293835108387824206609927316451,0791,0599072756292,092517302282803619
  Share Based Compensation3.0%24.0023.0025.0032.0042.0033.0028.0035.0026.0026.0027.0022.0016.0015.009.0019.008.007.007.0011.0012.00
Cashflow From Investing4.7%-417-438-436-453-498-501-426-551-361-386-297-493-627-257-287-399-353-333602-294274
Cashflow From Financing-4458.4%-54413.00-36.10-615-4,2391,101-97.10-129-127-447-105-109-397-56326.00-106-101-17.20-1,132-762-411
  Dividend Payments0%69.0069.0069.0069.0064.0064.0064.0063.0058.0056.0047.0047.0046.0047.00-------
  Buy Backs-------------119185-1,680-----
Get Full Access to Grufity – and Unlimited Downloads
Gain full access to fair value, watchlists, stock screener, unlimited page visits, and additional features by joining as a member today for just $1.99.
Try For Just $1.99

ACI Income Statement

2024-02-24
Consolidated Statements of Operations and Comprehensive Income - USD ($)
shares in Millions, $ in Millions
12 Months Ended
Feb. 24, 2024
Feb. 25, 2023
Feb. 26, 2022
Income Statement [Abstract]   
Net sales and other revenue$ 79,237.7$ 77,649.7$ 71,887.0
Cost of sales57,192.055,894.151,164.6
Gross margin22,045.721,755.620,722.4
Selling and administrative expenses19,932.919,596.018,300.5
Loss (gain) on property dispositions and impairment losses, net43.9(147.5)(15.0)
Operating income2,068.92,307.12,436.9
Interest expense, net492.1404.6481.9
Loss on debt extinguishment0.00.03.7
Other income, net(12.2)(33.0)(148.2)
Income before income taxes1,589.01,935.52,099.5
Income tax expense293.0422.0479.9
Net income1,296.01,513.51,619.6
Other comprehensive income (loss), net of tax:   
Recognition of pension gain15.84.65.8
Other2.9(4.3)(0.3)
Other comprehensive income18.70.35.5
Comprehensive income$ 1,314.7$ 1,513.8$ 1,625.1
Net income per Class A common share:   
Basic net income per Class A common share (in dollars per share)$ 2.25$ 2.29$ 2.73
Diluted net income per Class A common share (in dollars per share)$ 2.23$ 2.27$ 2.70
Weighted average Class A common shares outstanding:   
Basic (in shares)575.4529.0469.6
Diluted (in shares)581.1534.0475.3

ACI Balance Sheet

2024-02-24
Consolidated Balance Sheets - USD ($)
$ in Millions
Feb. 24, 2024
Feb. 25, 2023
Current assets  
Cash and cash equivalents$ 188.7$ 455.8
Receivables, net724.4687.6
Inventories, net4,945.24,782.0
Prepaid assets370.3302.7
Other current assets58.942.3
Total current assets6,287.56,270.4
Property and equipment, net9,570.39,358.7
Operating lease right-of-use assets5,981.65,879.1
Intangible assets, net2,434.52,465.4
Goodwill1,201.01,201.0
Other assets746.2993.6
TOTAL ASSETS26,221.126,168.2
Current liabilities  
Accounts payable4,218.24,173.1
Accrued salaries and wages1,302.61,317.4
Current maturities of long-term debt and finance lease obligations285.21,075.7
Current operating lease obligations677.6664.8
Current portion of self-insurance liability367.7355.5
Taxes other than income taxes325.4382.3
Other current liabilities281.0460.0
Total current liabilities7,457.78,428.8
Long-term debt and finance lease obligations7,783.47,834.4
Long-term operating lease obligations5,493.25,386.2
Deferred income taxes807.6854.0
Long-term self-insurance liability899.9878.6
Other long-term liabilities1,031.81,129.8
Commitments and contingencies
STOCKHOLDERS' EQUITY  
Additional paid-in capital2,129.62,072.7
Treasury stock, at cost, 18,397,745 and 21,300,945 shares held as of February 24, 2024 and February 25, 2023, respectively(304.2)(352.2)
Accumulated other comprehensive income88.069.3
Retained earnings (accumulated deficit)828.2(185.0)
Total stockholders' equity2,747.51,610.7
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY26,221.126,168.2
Series A convertible preferred stock  
Current liabilities  
Undesignated preferred stock0.045.7
Series A-1 convertible preferred stock  
Current liabilities  
Undesignated preferred stock0.00.0
Undesignated preferred stock  
STOCKHOLDERS' EQUITY  
Undesignated preferred stock, $0.01 par value; 96,840,000 shares authorized, no shares issued as of February 24, 2024 and February 25, 20230.00.0
Class A common stock  
STOCKHOLDERS' EQUITY  
Common stock5.95.9
Class A-1 convertible common stock  
STOCKHOLDERS' EQUITY  
Common stock$ 0.0$ 0.0
ACI
Albertsons Companies, Inc., through its subsidiaries, engages in the operation of food and drug stores in the United States. The company's food and drug retail stores offer grocery products, general merchandise, health and beauty care products, pharmacy, fuel, and other items and services. It also manufactures and processes food products for sale in stores. It operates stores under various banners, including Albertsons, Safeway, Vons, Pavilions, Randalls, Tom Thumb, Carrs, Jewel-Osco, Acme, Shaw's, Star Market, United Supermarkets, Market Street, Haggen, Kings Food Markets, and Balducci's Food Lovers Market; and pharmacies, in-store branded coffee shops, adjacent fuel centers, distribution centers, and manufacturing facilities, as well as various digital platforms. The company was founded in 1860 and is headquartered in Boise, Idaho. Albertsons Companies, Inc. is a subsidiary of Albertsons Investor Holdings LLC.
 CEO
 WEBSITEalbertsonscompanies.com
 INDUSTRYPackaged Foods
 EMPLOYEES65535

Albertsons Cos Inc Frequently Asked Questions


What is the ticker symbol for Albertsons Cos Inc? What does ACI stand for in stocks?

ACI is the stock ticker symbol of Albertsons Cos Inc. Every public company that trades on a stock exchange gets a ticker symbol.

What is the market capital of Albertsons Cos Inc (ACI)?

As of Mon Jul 01 2024, market cap of Albertsons Cos Inc is 11.48 Billion. The market capitalization is calculated by multiplying the stock price with the number of shares outstanding.

What is the fair value of ACI stock?

You can check ACI's fair value in chart for subscribers.

What is the fair value of ACI stock?

You can check ACI's fair value in chart for subscribers. The fair value of Albertsons Cos Inc is provided for various growth and macro-economic scenarios from very pessimiatic to very optimistic assumptions. These fair values are estimates from Grufity's Fair Value model based on company's past performance. However, past performance of Albertsons Cos Inc is no guarantee of future performance. These fairvalue estimates should only be used as one of the inputs in your stock analysis. We provide model's historical fair value estimates for ACI so that you know how good or bad the model has been in the past so you can discard it if needed. There are others that provide fair values of stocks such as wallmine, finbox, gurufocus and finviz. Most provide point in time estimates. We provide a history of our models fair value estimates so that you can get a sense of it's usefulness. Otherwise this data point is of little use.

Is Albertsons Cos Inc a good stock to buy?

The fair value guage provides a quick view whether ACI is over valued or under valued. Whether Albertsons Cos Inc is cheap or expensive depends on the assumptions which impact Albertsons Cos Inc's fair value. We provide several scenarios of inflation and growth to encompass these range of assumptions for ACI.

What is Albertsons Cos Inc's Price to Earnings (PE) and Price to sales (PS) ratio?

As of Mon Jul 01 2024, ACI's PE ratio (Price to Earnings) is 8.86 and Price to Sales (PS) ratio is 0.14. The price to earnings and price to sales ratio are two most important valuation metrics for any company. PE ratio tell us the number of years of earnings investors are ready to pay for owning the company. Historically, S&P500 price to earnings ratio has fallen below 12 during periods of gloom and gone past 30 during periods of euphoria. ACI PE ratio will change depending on the future growth rate expectations of investors.