June 07, 2025 a 03:31 pm

Consumer Staple Stocks - Performance Analysis

Consumer Staple Stocks Overview

Analyzing the recent performance of major consumer staple stocks reveals critical insights into market dynamics over various time periods. Despite prevailing economic headwinds, several stocks have demonstrated resilience, while others have succumbed to pressures. A closer look at short-term and long-term trends facilitates strategic decision-making.

๐Ÿ“Š Consumer Staple Stocks Performance One Week

The past week has witnessed mixed movements in the consumer staples sector. TGT emerged as the standout performer with a notable gain, counterbalancing the sector's generally subdued activity. While several stocks reported negative returns, PM managed a slight uptrend, contrasting starkly with the general sector performance.

Stock Performance (%) Performance
TGT 3.60
PM 0.64
KO -1.03
PEP -1.07
WMT -1.26
MDLZ -2.00
MO -2.28
COST -2.37
CL -2.93
PG -3.48
One Week Performance Chart

๐Ÿ“Š Consumer Staple Stocks Performance One Month

Over the past month, PM stands out with substantial gains, bolstered by shareholder confidence and market momentum. While PG and TGT have registered moderate improvements, other stocks exhibited restrained movements, indicating sector stability amidst fluctuating economic conditions.

Stock Performance (%) Performance
PM 5.67
PG 3.47
TGT 0.98
COST 0.93
KO 0.36
WMT 0.12
CL -0.53
PEP -0.96
MDLZ -1.49
MO -1.74
One Month Performance Chart

๐Ÿ“Š Consumer Staple Stocks Performance Three Months

Over the quarter, PM leads with impressive double-digit gains, capitalizing on market opportunities and strategic initiatives. Conversely, PEP and TGT suffered significant setbacks precipitating broader concerns. Strong performances from WMT and COST further diversify overall sector outcomes.

Stock Performance (%) Performance
PM 19.34
WMT 7.32
COST 6.08
MO 3.04
KO 0.39
CL -6.23
PG -6.28
MDLZ -1.75
TGT -14.07
PEP -16.53
Three Months Performance Chart

๐Ÿ“Š Summary

Overall, the consumer staples sector demonstrates a blend of performance amid economic uncertainties. PM's robust three-month performance highlights its potential as a resilient investment option, contrasted by the notable declines in PEP and TGT which warrant cautious evaluation. Investors should remain vigilant of underlying market shifts while considering longer-term strategies within the sector.