POST

POST

USD

Post Holdings Inc. Common Stock

$112.900+0.040 (0.035%)

Precio en Tiempo Real

Consumer Defensive
Alimentos envasados
Estados Unidos

Gráfico de Precios

Loading Chart...

Métricas Clave

Métricas de Mercado
Fundamentos de la Empresa
Estadísticas de Negociación

Métricas de Mercado

Apertura

$112.860

Máximo

$113.680

Mínimo

$111.300

Volumen

0.07M

Fundamentos de la Empresa

Capitalización de Mercado

6.4B

Industria

Alimentos envasados

País

United States

Estadísticas de Negociación

Volumen Promedio

0.66M

Bolsa

NYQ

Moneda

USD

Rango de 52 Semanas

Mínimo $99.7Actual $112.900Máximo $125.84

Informe de Análisis de IA

Última actualización: 29 abr 2025
Generado por IAFuente de Datos: Yahoo Finance, Bloomberg, SEC

POST (Post Holdings Inc. Common Stock): Breaking Down the Recent Action and Future Possibilities Stock Symbol: POST Generate Date: 2025-04-29 19:08:56

Okay, let's take a look at what's been going on with Post Holdings, the company behind things like Honey Bunches of Oats cereal and Peter Pan peanut butter. We'll break down the latest news, check out the stock's recent price moves, and see what some predictions are suggesting.

What's the Buzz? Recent News Check

First off, the news flow for POST has been leaning positive lately. A notable point is that Wells Fargo, a big investment bank, recently weighed in. While they kept their overall rating on the stock at "Equal-Weight" (which is kind of a neutral stance), they did bump up their price target slightly, moving it from $122 to $124. That's a small but positive signal from an analyst watching the company.

Also on the horizon, Post Holdings has scheduled its conference call for the second quarter of fiscal year 2025. That's set for May 9th. These calls are important because it's when the company's management talks about their performance and outlook. Investors will be keen to hear what they have to say, which could definitely influence the stock price depending on the updates.

Putting it together, the news feels generally favorable, especially with that analyst price target increase and the anticipation around the upcoming earnings call.

Checking the Price Chart

Now, let's look at what the stock price itself has been doing over the past few months. If you look back to late January, shares were trading around the $106-$107 range. From there, we saw a pretty steady climb through February and into March, with the stock hitting highs near $117-$119.

More recently, in April, the price has pulled back a bit and bounced around. As of today, the stock closed around $112.27. So, while it's off its recent peak, it's still trading well above where it was at the start of the year.

Interestingly, an AI model that looks at stock movements is predicting some upward action from here. It forecasts the price could increase by over 1% today, more than 2.5% tomorrow, and nearly 4% the day after. This suggests the AI sees the recent dip as potentially temporary and expects the stock to resume climbing in the very short term.

Putting It All Together: What Might This Mean?

Considering the analyst's slightly more optimistic price target, the positive news sentiment highlighted in some data, and the AI's prediction for near-term gains, the overall picture seems to lean cautiously positive right now, despite the recent price dip.

If you're thinking about this stock, the current price level, roughly around $112, could be a point to consider if you're aligning with that positive outlook. Some analysis points to potential entry areas around $111 to $112.

Of course, investing always involves risk, and it's smart to have a plan for managing it. If the stock doesn't move as predicted, setting a stop-loss order below a recent support level, perhaps around $110 or even lower like the $100 mark mentioned in some risk data, could help limit potential losses. On the upside, if the stock does climb, potential targets could be the AI's projected level around $116, the analyst's $124 target, or even the recent highs near $118-$119. Some data suggests a short-term take-profit level around $113.39.

A Quick Company Snapshot

Just for context, remember that Post Holdings is in the "Consumer Defensive" sector. This means they sell everyday items like food that people tend to buy regardless of how the economy is doing. They have a diverse portfolio including cereals, eggs, potatoes, and more. While this can offer some stability, it's worth noting that some data indicates the company has a relatively high level of debt compared to its equity, which is something to keep an eye on.


Disclaimer: This analysis is based on the provided data and is for informational purposes only. It is not financial advice. Stock markets are volatile, and prices can go down as well as up. You should always conduct your own thorough research and consider consulting with a qualified financial advisor before making any investment decisions.

Noticias Relacionadas

PR Newswire

Post Holdings Schedules Second Quarter Fiscal Year 2025 Conference Call

Post Holdings, Inc. (NYSE:POST), a consumer packaged goods holding company, today announced it will hold a conference call on Friday, May 9, 2025 at...

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Post Holdings Schedules Second Quarter Fiscal Year 2025 Conference Call
Analyst Upgrades

Wells Fargo Maintains Equal-Weight on Post Holdings, Raises Price Target to $124

Wells Fargo analyst Marc Torrente maintains Post Holdings with a Equal-Weight and raises the price target from $122 to $124.

Ver más
Wells Fargo Maintains Equal-Weight on Post Holdings, Raises Price Target to $124

Predicción de IABeta

Recomendación de IA

Alcista

Actualizado el: 4 may 2025, 15:59

BajistaNeutralAlcista

68.8% Confianza

Riesgo y Negociación

Nivel de Riesgo3/5
Riesgo Medio
Adecuado Para
Moderado
Guía de Negociación

Punto de Entrada

$113.08

Toma de Ganancias

$115.08

Stop Loss

$101.54

Factores Clave

PDI 4.9 está por encima de MDI 4.2 con ADX 22.4, lo que sugiere una tendencia alcista
El precio actual está extremadamente cerca del nivel de soporte ($112.74), lo que sugiere una fuerte oportunidad de compra
El volumen de operaciones es 5.8 veces el promedio (6,510), lo que indica una presión de compra extremadamente fuerte
El MACD 0.1721 está por debajo de la línea de señal 0.1944, lo que indica un cruce bajista

Mantente Actualizado

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