STZ

Constellation Brands Inc Class A

STZ, USA

Constellation Brands, Inc., together with its subsidiaries, produces, imports, markets, and sells beer, wine, and spirits in the United States, Canada, Mexico, New Zealand, and Italy. The company offers beer under the Corona Extra, Corona Familiar, Corona Hard Seltzer, Corona Light, Corona Non-Alcoholic, Corona Premier, Corona Refresca, Modelo Especial, Modelo Chelada, Modelo Negra, Modelo Oro, Victoria, Vicky Chamoy, and Pacifico brands. It also offers wine under the Cook's California Champagne, Kim Crawford, Meiomi, Mount Veeder, Ruffino, SIMI, My Favorite Neighbor, Robert Mondavi Winery, Schrader, and The Prisoner Wine Company brands; and spirits under the Casa Noble, Copper & Kings, High West, Mi CAMPO, Nelson's Green Brier, and SVEDKA brands. The company provides its products to wholesale distributors, retailers, on-premise locations, and state alcohol beverage control agencies. Constellation Brands, Inc. was founded in 1945 and is based in Rochester, New York.

https://www.cbrands.com

Stock Price

$0.00

0%

increase compared to yesterday.

Dividend

Frequency:

N/A

Rate:

N/A

Next Payout:

N/A
STZ
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STZ

Stock Yards Bank & Trust Co. Sells 14,936 Shares of Constellation Brands Inc $STZ MarketBeat

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Constellation Brands (STZ) stock cools in premarket after Tuesday pop — what matters now TechStock²

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Showing 2 of 10

Analyst Ratings & Sentiment

(Last Updated 2025-08-31)

Rating:

BUY

Target Price:

$170.6957

Analyst Picks

Strong Buy

9

Buy

7

Hold

10

Sell

0

Strong Sell

0

Sentiment:

Bullish

Finn Analysis

(Last Updated 2025-08-31)

Health Score

Price to Earnings Ratio (P/E)

-

High

20.91

Low ≥ 50

High ≤ 10

Price to Book Ratio (P/B)

-

Very High

3.67

Low ≤ 1

High ≥ 3

Return on Equity (ROE)

-

Very Low

6.21 %

Low ≤ 5%

High ≥ 25%

Return on Assets (ROA)

-

Very Low

2.18 %

Low ≤ 2%

High ≥ 10%

Free Cash Flow - Revenue % (FCF)

-

Very High

25.59 %

Low ≤ 5%

High ≥ 15%

Debt to Equity

-

Very Low

1.82

Low ≥ 1

High ≤ 0.3

Investors

* Institutions hold a combined 87.25% of the total shares of Constellation Brands Inc Class A

1.

Vanguard Group Inc

(9.9997%)

since

2025/06/30

2.

Berkshire Hathaway Inc

(7.601%)

since

2025/06/30

3.

Capital World Investors

(6.6868%)

since

2025/06/30

4.

BlackRock Inc

(6.1479%)

since

2025/06/30

5.

State Street Corp

(3.8986%)

since

2025/06/30

6.

American Funds Washington Mutual A

(3.3663%)

since

2025/06/30

7.

Capital Group Wash Mutual Invtrs Comp

(3.3663%)

since

2025/06/30

8.

FMR Inc

(3.1762%)

since

2025/06/30

9.

Wellington Management Company LLP

(3.1263%)

since

2025/06/30

10.

American Funds American Balanced A

(2.8189%)

since

2025/06/30

11.

Vanguard Total Stock Mkt Idx Inv

(2.5415%)

since

2025/07/31

12.

Capital Research & Mgmt Co - Division 3

(2.4442%)

since

2025/06/30

13.

Vanguard 500 Index Investor

(2.1493%)

since

2025/07/31

14.

Geode Capital Management, LLC

(2.1202%)

since

2025/06/30

15.

Grantham, Mayo, Van Otterloo & Co., LLC

(2.0851%)

since

2025/06/30

16.

Vanguard Mid Cap Index Institutional

(1.8018%)

since

2025/07/31

17.

Morgan Stanley - Brokerage Accounts

(1.6215%)

since

2025/06/30

18.

Aristotle Capital Management LLC

(1.6076%)

since

2025/06/30

19.

Vanguard Equity-Income Inv

(1.4158%)

since

2025/06/30

20.

JPMorgan Chase & Co

(1.2937%)

since

2025/06/30

21.

Charles Schwab Investment Management Inc

(1.1169%)

since

2025/06/30

22.

Fidelity 500 Index

(1.1006%)

since

2025/07/31

23.

Van Eck Associates Corporation

(1.0604%)

since

2025/06/30

24.

SPDR® S&P 500® ETF

(1.0511%)

since

2025/08/31

25.

iShares Core S&P 500 ETF

(1.0446%)

since

2025/08/31

26.

Dimensional Fund Advisors, Inc.

(1.0195%)

since

2025/06/30

27.

Ameriprise Financial Inc

(1.0039%)

since

2025/06/30

28.

Harris Associates L.P.

(0.9945%)

since

2025/06/30

29.

VanEck Morningstar Wide Moat

(0.9714%)

since

2025/06/30

30.

Vanguard Windsorâ„¢ II Inv

(0.9683%)

since

2025/06/30

31.

VanEck Morningstar Wide Moat ETF

(0.9338%)

since

2025/08/30

32.

The Consumer Staples Sel SectSPDR® ETF

(0.8728%)

since

2025/08/31

33.

NORGES BANK

(0.8359%)

since

2025/06/30

34.

Amvescap Plc.

(0.8276%)

since

2025/06/30

35.

Oakmark Investor

(0.7771%)

since

2025/06/30

36.

Vanguard Value Index Inv

(0.7159%)

since

2025/07/31

37.

GMO Quality Composite

(0.6826%)

since

2025/06/30

38.

GMO Quality IV

(0.6826%)

since

2025/07/31

39.

Vanguard Wellesley® Income Inv

(0.6653%)

since

2025/06/30

40.

American Funds American Mutual A

(0.6544%)

since

2025/06/30

* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.

Earnings History

EPS ActualEPS EstimateEPS DifferenceSurprise Percent

Upcoming Earnings Release

Date

2026-02-28

EPS Estimate

1.98

Latest Release

Date

2025-11-30

EPS Actual

—

EPS Estimate

2.78

EPS Difference

0

Surprise Percent

0%

Investing Fit Scorecard

(Last Updated 2025-08-31)

Deep Value
Potential Value Candidate(4)
Defensive
Moderately Defensive(5.5)
Dividend
Decent Dividend Payer(3.5)
Economic Moat
Wide Moat Company(7.3)
GARP
Not Attractive for GARP(3)
Growth
Weak Growth Prospect(3)
Momentum
Strong Momentum(6.5)
Net Net
Not Undervalued (Net-Net)(2.5)
Quality
High Quality(7)
Value
Fair Value(5)

Income Statement

(Last Updated 2025-08-31)

Revenue

$ 0

Cost Of Revenue

$ 0

Gross Profit

$ 0

Operating Expenses

$ 0

Operating Income

$ 0

Interest Expense

$ 0

Pretax Income

$ 0

Net Income

$ 0

Income Tax Expense

$ 0

EBITDA

$ 0

Total Other Income Expense Net

$ 0

Earnings Per Share

0

Dividends Per Share

0

Shares Outstanding

0

Operating Margin

0%

Trend

Balance Sheet

(Last Updated 2025-08-31)

Cash

$ 0

Short Term Investments

$ 0

Receivables

$ 0

Inventories

$ 0

Total Current Assets

$ 0

Property Plant Equipment

$ 0

Total Assets

$ 0

Payables

$ 0

Short Term Debt

$ 0

Long Term Debt

$ 0

Total Liabilities

$ 0

Equity

$ 0

Trend

Cash Flow

(Last Updated 2025-08-31)

Net Income

$ 0

Depreciation

$ 0

Change In Working Capital

$ 0

Cash From Operations

$ 0

Capital Expenditures

$ 0

Cash From Investing

$ 0

Cash From Financing

$ 0

Net Change In Cash

$ 0

Trend

Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.