General Mills, Inc. engages in the manufacture and marketing of branded consumer foods sold through retail stores. Its product categories include snacks, ready-to-eat cereal, convenient meals, pet food, refrigerated and frozen dough, baking mixes and ingredients, yogurt, and ice cream. The firm operates through the following segments: North America Retail, International, Pet, and North America Foodservice. The North America Retail segment includes grocery stores, mass merchandisers, membership stores, natural food chains, drug, dollar and discount chains, convenience stores, and e-commerce grocery providers. The International segment refers to the retail and foodservice businesses outside of the US and Canada. The Pet segment includes pet food products sold in national pet superstore chains, e-commerce retailers, grocery stores, regional pet store chains, mass merchandisers, and veterinary clinics and hospitals. The North America Foodservice segment offers ready-to-eat cereals, snacks, refrigerated yogurt, frozen meals, unbaked and fully baked frozen dough products, baking mixes, and bakery flour. The company was founded by Cadwallader C. Washburn on June 20, 1928 and is headquartered in Minneapolis, MN.
Current Value
$65.941 Year Return
Current Value
$65.941 Year Return
Market Cap
$36.36B
P/E Ratio
15.61
1Y Stock Return
-3.45%
1Y Revenue Growth
-2.37%
Dividend Yield
3.46%
Price to Book
3.9
Medium risk
$14,000
The original passive investment vehicle is generally considered to comprise of 500 of the largest stocks traded within the US. Double's take on this exposes a client to the US stock market in a diversified way without any expense ratio.
Top Sector
Information Technology
Top Holdings
Return
Expense Ratio
0.00%
Holdings
501
Medium risk
$6,400
This Strategy targets undervalued stocks in the U.S. market, emphasizing companies with solid fundamentals and potential for long-term growth. Emphasizing sectors such as healthcare, financials, industrials, and consumer goods, it seeks opportunities where market prices may not fully reflect underlying value metrics like earnings and book value.
Top Sector
Financials
Top Holdings
Return
Expense Ratio
0.00%
Holdings
332
Medium risk
$3,500
Targeting mid-sized U.S. companies, striking a balance between growth potential and stability. Investing in sectors like industrials, technology, consumer goods, and healthcare, it offers exposure to companies with established market positions and growth opportunities.
Top Sector
Industrials
Top Holdings
Return
Expense Ratio
0.00%
Holdings
310
Low risk
$3,400
This strategy focuses on consumer staples companies, including food, beverage, household products, and retail firms. Offering stability and defensive characteristics, it's often less sensitive to economic cycles.
Top Sector
Consumer Staples
Top Holdings
Return
Expense Ratio
0.00%
Holdings
101
Medium risk
$1,000
These mid and large cap companies all have above a 3% dividend yield and are equally weighted.
Top Sector
Utilities
Top Holdings
Return
Expense Ratio
0.00%
Holdings
96
Medium risk
$3,400
This index provides equal-weight exposure to the top 500 companies in the US, offering a unique approach compared to traditional market-cap weighted indexes. With an aim to reduce concentration risk by allocating equal amounts to each constituent, it potentially benefits from smaller companies' outperformance.
Top Sector
Industrials
Top Holdings
Return
Expense Ratio
0.00%
Holdings
502
Medium risk
$33,000
This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.
Top Sector
Information Technology
Top Holdings
Return
Expense Ratio
0.00%
Holdings
994
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
CAG | 72.89% | $13.23B | -8.90% | 5.00% |
CPB | 65.64% | $12.82B | -5.16% | 3.43% |
FLO | 60.29% | $4.48B | -5.75% | 4.44% |
MDLZ | 58.54% | $84.40B | -13.66% | 2.76% |
PEP | 58.06% | $215.09B | -8.86% | 3.36% |
KHC | 56.53% | $37.83B | -16.91% | 5.09% |
SJM | 55.04% | $12.05B | -10.64% | 3.77% |
KO | 49.00% | $269.84B | +4.52% | 3.05% |
MKC | 48.19% | $21.83B | +16.58% | 2.07% |
HSY | 46.30% | $35.82B | -6.24% | 3.10% |
PG | 44.06% | $401.84B | +14.84% | 2.31% |
ETR | 42.65% | $31.71B | +40.30% | 3.08% |
ED | 40.79% | $32.13B | -1.34% | 3.56% |
POST | 40.63% | $6.95B | +31.74% | 0.00% |
CL | 40.51% | $75.79B | +16.84% | 2.12% |
WEC | 39.69% | $30.25B | +9.90% | 3.46% |
EXC | 38.83% | $36.94B | -10.34% | 4.11% |
KMB | 38.31% | $43.56B | +5.65% | 3.71% |
HRL | 38.19% | $18.19B | +1.32% | 3.40% |
CMS | 37.76% | $19.96B | +11.53% | 3.06% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
AMPY | -<0.01% | $253.73M | +9.81% | 0.00% |
BNT | -0.01% | $7.72B | +56.86% | 0.00% |
INGN | 0.01% | $229.61M | +57.52% | 0.00% |
FENC | 0.02% | $168.41M | -35.44% | 0.00% |
AVNT | 0.03% | $4.49B | +29.57% | 2.10% |
QNTM | -0.03% | $8.18M | -93.45% | 0.00% |
MAS | 0.04% | $17.12B | +19.67% | 1.46% |
ASND | -0.04% | $8.02B | +14.10% | 0.00% |
MBIN | 0.04% | $1.78B | -0.36% | 0.90% |
PTCT | -0.04% | $3.83B | +77.96% | 0.00% |
OPAD | 0.04% | $117.43M | -56.49% | 0.00% |
BCO | 0.05% | $4.13B | +9.19% | 1.00% |
TFC | 0.05% | $60.61B | +28.66% | 4.55% |
SHLS | 0.05% | $761.81M | -68.93% | 0.00% |
NARI | -0.06% | $3.41B | -9.41% | 0.00% |
DXPE | -0.06% | $1.27B | +144.17% | 0.00% |
MGNX | -0.07% | $214.02M | -62.81% | 0.00% |
FOXF | -0.07% | $1.37B | -48.56% | 0.00% |
GRWG | -0.07% | $110.19M | -27.06% | 0.00% |
CNDT | -0.08% | $698.72M | +29.67% | 0.00% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
NVDA | -37.94% | $3.41T | +189.70% | 0.05% |
CLS | -37.86% | $10.47B | +219.61% | 0.00% |
AVGO | -32.93% | $855.65B | +68.12% | 9.05% |
ONTO | -32.86% | $8.28B | +12.80% | 0.00% |
VRT | -32.81% | $47.23B | +162.49% | 0.09% |
ASML | -32.04% | $281.07B | -2.84% | 0.94% |
CAMT | -32.01% | $3.39B | +16.75% | 0.00% |
RMBS | -31.58% | $6.29B | -14.03% | 0.00% |
UEC | -31.09% | $3.58B | +33.44% | 0.00% |
LRCX | -30.87% | $100.66B | +6.49% | 11.06% |
MRVL | -29.78% | $96.36B | +94.65% | 0.22% |
MOD | -29.51% | $6.90B | +143.11% | 0.00% |
VECO | -29.41% | $1.62B | -4.00% | 0.00% |
KLAC | -29.02% | $86.79B | +13.69% | 0.94% |
NVMI | -28.95% | $5.58B | +46.92% | 0.00% |
DDOG | -28.92% | $53.16B | +33.48% | 0.00% |
ANET | -28.72% | $135.08B | +86.85% | 0.00% |
FUN | -28.59% | $4.63B | -15.94% | 0.00% |
AMAT | -28.48% | $141.08B | +9.01% | 0.90% |
MTSI | -28.37% | $9.99B | +53.40% | 0.00% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
FTXG | 70.62% | $24.35M | 0.6% |
IYK | 65.57% | $1.33B | 0.4% |
FXG | 55.82% | $396.60M | 0.63% |
XLP | 54.92% | $17.33B | 0.09% |
FSTA | 54.21% | $1.26B | 0.084% |
VDC | 54.06% | $7.29B | 0.1% |
KXI | 50.52% | $711.68M | 0.41% |
LVHD | 48.42% | $559.57M | 0.27% |
SPHD | 44.74% | $3.56B | 0.3% |
HDV | 43.22% | $11.19B | 0.08% |
SPLV | 42.27% | $7.50B | 0.25% |
CCOR | 39.00% | $107.36M | 1.18% |
PBJ | 35.17% | $110.50M | 0.62% |
CDC | 34.93% | $810.48M | 0.42% |
FVD | 34.87% | $9.76B | 0.6% |
SDY | 34.54% | $21.33B | 0.35% |
FDL | 34.19% | $4.60B | 0.45% |
KNG | 32.77% | $3.63B | 0.75% |
NOBL | 32.74% | $12.55B | 0.35% |
LGLV | 32.50% | $805.97M | 0.12% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
GWX | -0.05% | $647.69M | 0.4% |
FAN | -0.06% | $154.13M | 0.6% |
PGJ | -0.06% | $158.85M | 0.67% |
PCEF | -0.06% | $832.93M | 3.08% |
VB | -0.06% | $66.42B | 0.05% |
FVAL | 0.15% | $981.90M | 0.15% |
VIGI | 0.18% | $7.25B | 0.15% |
EWD | -0.18% | $340.73M | 0.54% |
XTN | -0.20% | $229.12M | 0.35% |
DFVX | -0.21% | $361.92M | 0.22% |
SPGP | -0.23% | $4.22B | 0.36% |
ESML | 0.25% | $1.95B | 0.17% |
INTF | -0.29% | $1.25B | 0.15% |
EFA | -0.31% | $55.79B | 0.35% |
GDIV | -0.32% | $281.26M | 0.5% |
VIS | 0.33% | $5.94B | 0.1% |
IDEV | 0.34% | $15.21B | 0.04% |
SCHF | -0.36% | $41.22B | 0.06% |
PXH | 0.36% | $1.25B | 0.49% |
SLVP | 0.39% | $242.37M | 0.39% |
Yahoo
We recently compiled a list of the 12 Best Long-Term Dividend Stocks to Invest in Right Now. In this article, we are going to take a look at where General Mills, Inc. (NYSE:GIS) stands against the other best dividend stocks for the long term. The allure of steady income remains a top priority, come rain […]
MarketWatch
General Mills Inc. stock outperforms competitors on strong trading day
Yahoo
Wealth! Host Brad Smith breaks down the top trending stocks on Yahoo Finance. Deutsche Bank is bullish on soft drink makers Coca-Cola (KO), PepsiCo (PEP), and Keurig Dr Pepper (KDP). Analyst Steve Powers upgraded all three names to Buy from Hold, citing that non-alcoholic options stand to outperform heading into 2025. Additionally, JPMorgan (JPM) initiated coverage on energy drink maker Celsius (CELH) with an Overweight rating, citing the growth potential from branding and broadening out from the usual energy drink market by attracting affluent female consumers. Finally, General Mills (GIS) is expanding its Cheerios line by introducing a new protein product that offers 8 grams of protein per serving, as more consumers look to increase their protein intake. To watch more expert insights and analysis on the latest market action, check out more Wealth here. This post was written by Angel Smith
Yahoo
Conagra Brands (CAG) doesn't possess the right combination of the two key ingredients for a likely earnings beat in its upcoming report. Get prepared with the key expectations.
Yahoo
MINNEAPOLIS, December 12, 2024--Iconic cereal brand Cheerios is expanding its portfolio of flavors to introduce a new protein cereal offering to its lineup – Cheerios Protein. With 8 grams of protein per serving, this new Cheerios innovation is answering the call of consumers craving more options with protein.
MarketWatch
General Mills Inc. stock underperforms Wednesday when compared to competitors
Information on this page is obtained from our data provider, Xignite, an unaffiliated third party. Double believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate. We also show information based on calculations performed by Double using data from our provider. Double believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
FFOG | -35.49% | $118.20M | 0.55% |
SMH | -35.21% | $23.06B | 0.35% |
WINN | -33.99% | $671.20M | 0.57% |
IYW | -33.87% | $19.94B | 0.39% |
IGPT | -33.71% | $428.72M | 0.58% |
FTEC | -33.46% | $13.32B | 0.084% |
MAGS | -33.03% | $1.35B | 0.29% |
IGM | -33.01% | $5.93B | 0.41% |
QGRW | -32.88% | $673.87M | 0.28% |
SOXQ | -32.85% | $484.26M | 0.19% |
VGT | -32.84% | $84.78B | 0.1% |
MTUM | -32.73% | $13.46B | 0.15% |
JGRO | -32.69% | $4.28B | 0.44% |
FBCG | -32.43% | $2.88B | 0.59% |
IXN | -32.36% | $5.34B | 0.41% |
PSI | -31.88% | $748.96M | 0.56% |
FEPI | -31.72% | $435.05M | 0.65% |
SPMO | -31.70% | $4.14B | 0.13% |
TCHP | -31.41% | $953.06M | 0.57% |
RPG | -31.24% | $1.57B | 0.35% |