ACI

Albertsons Companies, Inc.

Fundamental data last updated:May 16, 2026

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company profile

SECTOR

Consumer Defensive

industry

Grocery Stores

Exchange

NYSE

County of HQ

US

Next Earnings Date

07/21/2026

Business Summary

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. As of February 26, 2022, it operated 2,276 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 1,722 pharmacies, 1,317 in-store branded coffee shops, 402 adjacent fuel centers, 22 distribution centers, and 20 manufacturing facilities, as well as various digital platforms. The company was founded in 1860 and is headquartered in Boise, Idaho.

 


VALUATION

P/E

38.71

Market Cap ($M USD)

$8.16B

Forward P/E

6.63

PEG

0.01

PRICE TO SALES

0.10

PRICE TO BOOK

4.58

EV / EBITDA

6.80

5-Year Average P/E

Free Cash Flow Yield

25.66%

DCF Value

$88.16

Graham Number

$5.88

Price to FCF

3.90

EV to FCF

11.11

Earnings Yield

2.58%

FCF Yield

25.66%

DIVIDEND

Yield

3.76%

Annual Payout

$0.62

Payout Ratio

148.44%

Consecutive Years of Dividend Growth

5-Year Dividend Growth Rate

Financial Health & Profitability

Earnings Per Share

$0.43

Next Year EPS Growth Estimate

$2.49

Next Year Revenue Growth Estimate

$8.87T

Return on Equity (ROE)

8.17%

FREE CASH FLOW

Operating Margin

0.89%

Debt-to-Equity

8.33

Piotroski F-Score

6

Altman Z-Score

3.42

Return on Invested Capital (ROIC)

3.93%

Current Ratio

0.86

Quick Ratio

0.20

Net Debt to EBITDA

4.41

Interest Coverage

1.48

Gross Profit margin

26.67%

FCF PER SHARE

$4.11

REVENUE PER SHARE

$163.18

Gainseekers Quantitative Analysis

Summary

Albertsons Companies, Inc. appears to be a classic case of market mispricing. Despite a DCF value that towers over its snapshot price, the stock trades at a modest Forward P/E of 6.43, suggesting significant undervaluation. The Altman Z-score of 3.42 indicates financial stability, while the earnings yield of 2.66% might not scream value, but the forward PEG ratio of 0.01 is a glaring signal of growth potential at a bargain. This is a stock that seems to be flying under the radar, offering a compelling opportunity for those who can see past the surface.

AI Exposure / Tech Reliance

In the grocery sector, Albertsons is not at the forefront of AI or tech innovation, but its industry is increasingly leveraging technology for supply chain efficiency and customer engagement. As a traditional grocery store, its adaptation to AI will likely focus on operational improvements rather than groundbreaking tech shifts. This positions it as a steady player rather than a tech pioneer.

The Bull Case

For the value or GARP investor, Albertsons offers a tantalizing proposition. With a robust ROIC of 3.93% and a healthy FCF yield of 26.44%, the company demonstrates efficient capital use and strong cash generation. The Piotroski F-Score of 6 suggests solid financial health, while its operating margin, though slim at 0.89%, reflects its ability to maintain profitability in a low-margin industry. These metrics paint a picture of a company with pricing power and operational resilience.

The Bear Case

However, the bear case cannot be ignored. The Price/Book ratio of 4.45 and Price/Sales of 0.10 indicate potential overvaluation relative to its book and sales value. The debt/equity ratio of 8.33 is alarmingly high, raising concerns about financial leverage and risk. Additionally, the payout ratio of 148.44% suggests unsustainable dividend practices, which could strain cash flows if not addressed. These structural weaknesses cast a shadow over its otherwise promising metrics.

Market Sentiment & Smart Money

Short Interest %

Analyst Consensus

Buy

Average Analyst Price Target

$19.63

Institutional Ownership %

1-Year Beta

0.26

Insider Buying % (6 Mo)

Distance to 52-Week High

37.98%

Distance to 52-Week Low

5.84%

EARNINGS SURPRISE %

11.63%

50-DAY SMA

$16.88

200-DAY SMA

$17.75

⚠️ Financial Disclaimer:
This content is for informational purposes only and is not financial advice. Information may be delayed or inaccurate. We may earn a commission from partner links.