The Top Management Management Teams In The Consumer Goods Sector

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Compiled by Luis Gonzalez: The following is a list of consumer goods sector stocks, with management teams that have all outperformed their competitors over the last twelve months. For each company we'll list the Return on Equity (ROE), Return on Assets (ROA) and Return on Invested Capital (ROI) ratios.

Will these management teams continue to outperform? What do you think? Full details below.

Management data and industry comps sourced from Fidelity, short float and performance data sourced from Finviz.

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3. Visualize market cap changes for the top stocks mentioned

1. Blount International Inc. (BLT): Housewares & Accessories Industry. Market cap of $755.64M. TTM return on equity at 397.05% vs. industry average at 17.64%. TTM return on assets at 6.87% vs. industry average at 5.58%. TTM return on investments at 11.07% vs. industry average at 8.47%. Short float at 2.27%, which implies a short ratio of 6.51 days. The stock has gained 48.11% over the last year.

2. Bunge Ltd. (BG): Farm Products Industry. Market cap of $10.48B. TTM return on equity at 24.02% vs. industry average at 17.15%. TTM return on assets at 9.76% vs. industry average at 7.05%. TTM return on investments at 14.66% vs. industry average at 10.41%. Short float at 2.94%, which implies a short ratio of 3.4 days. The stock has gained 19.92% over the last year.

3. Cal-Maine Foods, Inc. (CALM): Farm Products Industry. Market cap of $671.62M. TTM return on equity at 19.93% vs. industry average at 17.15%. TTM return on assets at 11.91% vs. industry average at 7.05%. TTM return on investments at 14.09% vs. industry average at 10.41%. Short float at 26.53%, which implies a short ratio of 30.4 days. The stock has lost -10.35% over the last year.

4. Canon Inc. (CAJ): Photographic Equipment & Supplies Industry. Market cap of $62.65B. TTM return on equity at 9.79% vs. industry average at 8.04%. TTM return on assets at 6.51% vs. industry average at 5.14%. TTM return on investments at 9.73% vs. industry average at 7.51%. Short float at 0.05%, which implies a short ratio of 2.01 days. The stock has gained 14.37% over the last year.

5. Colgate-Palmolive Co. (CL): Personal Products Industry. Market cap of $37.76B. TTM return on equity at 84.07% vs. industry average at 33.94%. TTM return on assets at 19.75% vs. industry average at 9.89%. TTM return on investments at 35.56% vs. industry average at 14.39%. Short float at 1.03%, which implies a short ratio of 1.68 days. The stock has lost -1.07% over the last year.

6. Cooper Tire & Rubber Co. (CTB): Rubber & Plastics Industry. Market cap of $1.46B. TTM return on equity at 28.03% vs. industry average at 10.95%. TTM return on assets at 5.0% vs. industry average at 4.49%. TTM return on investments at 11.60% vs. industry average at 7.80%. Short float at 9.36%, which implies a short ratio of 7 days. The stock has gained 40.79% over the last year.

7. Deer Consumer Products, Inc. (DEER): Home Furnishings & Fixtures Industry. Market cap of $374.86M. TTM return on equity at 21.28% vs. industry average at 3.95%. TTM return on assets at 17.22% vs. industry average at 3.07%. TTM return on investments at 20.05% vs. industry average at 5.44%. Short float at 15.22%, which implies a short ratio of 12.83 days. The stock has gained 22.91% over the last year.

8. Flowers Foods, Inc. (FLO): Processed & Packaged Goods Industry. Market cap of $2.28B. TTM return on equity at 17.57% vs. industry average at 17.15%. TTM return on assets at 10.31% vs. industry average at 7.05%. TTM return on investments at 13.92% vs. industry average at 10.41%. Short float at 8.02%, which implies a short ratio of 11.36 days. The stock has gained 0.04% over the last year.

9. Harman International Industries Inc. (HAR): Electronic Equipment Industry. Market cap of $3.53B. TTM return on equity at 9.72% vs. industry average at 3.93%. TTM return on assets at 4.39% vs. industry average at 3.07%. TTM return on investments at 7.38% vs. industry average at 5.44%. Short float at 1.52%, which implies a short ratio of 1.65 days. The stock has gained 15.48% over the last year.

10. HJ Heinz Co. (HNZ): Food - Major Diversified Industry. Market cap of $15.42B. TTM return on equity at 46.84% vs. industry average at 17.14%. TTM return on assets at 9.36% vs. industry average at 7.04%. TTM return on investments at 13.01% vs. industry average at 10.37%. Short float at 2.48%, which implies a short ratio of 3.94 days. The stock has gained 10.79% over the last year.

11. Hormel Foods Corp. (HRL): Meat Products Industry. Market cap of $3.44B. TTM return on equity at 17.24% vs. industry average at 17.15%. TTM return on assets at 10.27% vs. industry average at 7.05%. TTM return on investments at 14.96% vs. industry average at 10.41%. Short float at 5.44%, which implies a short ratio of 4.24 days. The stock has gained 25.53% over the last year.

12. La-Z-Boy Inc. (LZB): Home Furnishings & Fixtures Industry. Market cap of $429.4M. TTM return on equity at 8.34% vs. industry average at 3.95%. TTM return on assets at 4.82% vs. industry average at 3.07%. TTM return on investments at 7.33% vs. industry average at 5.44%. Short float at 9.7%, which implies a short ratio of 9.41 days. The stock has lost -36.11% over the last year.

13. Lear Corp. (LEA): Auto Parts Industry. Market cap of $8.35B. TTM return on equity at 19.87% vs. industry average at 10.95%. TTM return on assets at 6.80% vs. industry average at 4.49%. TTM return on investments at 14.41% vs. industry average at 7.80%. Short float at 2.31%, which implies a short ratio of 3.27 days. The stock has gained 52.95% over the last year.

14. Lennox International, Inc. (LII): Appliances Industry. Market cap of $2.74B. TTM return on equity at 20.92% vs. industry average at -6.37%. TTM return on assets at 7.05% vs. industry average at 3.66%. TTM return on investments at 13.09% vs. industry average at 5.23%. Short float at 5.31%, which implies a short ratio of 5.49 days. The stock has gained 20.7% over the last year.

15. Lululemon Athletica Inc. (LULU): Textile - Apparel Clothing Industry. Market cap of $5.79B. TTM return on equity at 34.35% vs. industry average at 22.72%. TTM return on assets at 26.85% vs. industry average at 15.16%. TTM return on investments at 33.85% vs. industry average at 20.98%. Short float at 15.09%, which implies a short ratio of 3.44 days. The stock has gained 183.68% over the last year.

16. Mattel Inc. (MAT): Toys & Games Industry. Market cap of $9.08B. TTM return on equity at 25.87% vs. industry average at 17.57%. TTM return on assets at 13.59% vs. industry average at 9.20%. TTM return on investments at 18.94% vs. industry average at 13.13%. Short float at 1.6%, which implies a short ratio of 1.22 days. The stock has gained 21.27% over the last year.

17. Newell Rubbermaid Inc. (NWL): Housewares & Accessories Industry. Market cap of $5.77B. TTM return on equity at 15.66% vs. industry average at 3.95%. TTM return on assets at 4.51% vs. industry average at 3.07%. TTM return on investments at 6.72% vs. industry average at 5.44%. Short float at 4.24%, which implies a short ratio of 3.66 days. The stock has gained 46.57% over the last year.

18. Rogers Corporation (ROG): Rubber & Plastics Industry. Market cap of $686.39M. TTM return on equity at 10.21% vs. industry average at 9.78%. TTM return on assets at 7.27% vs. industry average at 6.40%. TTM return on investments at 10.02% vs. industry average at 8.83%. Short float at 2.73%, which implies a short ratio of 5.91 days. The stock has gained 72.47% over the last year.

19. Sanderson Farms, Inc. (SAFM): Meat Products Industry. Market cap of $963.67M. TTM return on equity at 23.30% vs. industry average at 17.15%. TTM return on assets at 17.50% vs. industry average at 7.05%. TTM return on investments at 19.97% vs. industry average at 10.41%. Short float at 14.93%, which implies a short ratio of 7.94 days. The stock has lost -14.51% over the last year.

20. Tempur Pedic International Inc. (TPX): Home Furnishings & Fixtures Industry. Market cap of $3.23B. TTM return on equity at 175.36% vs. industry average at 3.95%. TTM return on assets at 22.50% vs. industry average at 3.07%. TTM return on investments at 29.21% vs. industry average at 5.44%. Short float at 9.96%, which implies a short ratio of 7.34 days. The stock has gained 64.05% over the last year.

21. The Coca-Cola Company (KO): Beverages - Soft Drinks Industry. Market cap of $146.73B. TTM return on equity at 43.22% vs. industry average at 28.29%. TTM return on assets at 21.20% vs. industry average at 12.24%. TTM return on investments at 26.52% vs. industry average at 18.42%. Short float at 0.53%, which implies a short ratio of 1.28 days. The stock has gained 17.8% over the last year.

22. Whirlpool Corp. (WHR): Appliances Industry. Market cap of $6.38B. TTM return on equity at 15.82% vs. industry average at 3.95%. TTM return on assets at 4.06% vs. industry average at 3.07%. TTM return on investments at 9.50% vs. industry average at 5.44%. Short float at 8.94%, which implies a short ratio of 4.2 days. The stock has gained 3.18% over the last year.



The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of The NASDAQ OMX Group, Inc.



This article appears in: Investing , Investing Ideas , Stocks


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