NYSE : TSN

Tyson Foods, Inc.

$57.47 USD

-$0.01 (-0.02%)

Volume
1.78M
Average Volume
3.24M
Market Capitalization
$20.46B
P/E Ratio
43.54
Dividend Yield
3.53%
Price Target
$73.00
Year High
$69.48
Year Low
$50.56
Day High
Day Low
Payout Ratio
$1.55
Current Ratio
$1.83

CCURRENT INSTITUTIONAL OWNERSHIP PERCENTAGE

0.74%

Investors Holding

82

change: -839 | last: 921

Increased Positions

21

change: -470 | last: 491

Reduced Positions

37

change: -251 | last: 288

New Positions

4

change: -127 | last: 131

Sold Positions

816

change: 720 | last: 96

Total Calls

300

Total Puts

300

Put-Call Ratio

1.00

change: 19.4124 | last: 0.8059

Total Invested

149M

TSN Enterprise Value History

Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-09-27 $54.19 348M $18.86B $1.23B $8.83B $26.46B
2024-09-28 $59.69 354M $21.13B $1.72B $9.79B $29.2B
2023-09-30 $50.49 354M $17.87B $573M $9.51B $26.81B
2022-10-01 $65.93 360M $23.73B $1.03B $8.32B $31.02B
2021-09-30 $78.94 363M $28.66B $2.51B $9.35B $35.5B
2020-10-03 $59.31 363M $21.53B $1.42B $11.34B $31.45B
2019-09-30 $86.14 363M $31.27B $484M $11.93B $42.72B
2018-09-30 $58.85 365M $21.48B $270M $9.87B $31.08B
2017-09-30 $70.45 366M $25.78B $318M $10.2B $35.67B
2016-09-30 $74.67 385M $28.75B $349M $6.28B $34.68B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-28 $63.92 353M $22.56B $500M $8.08B $30.15B
2025-12-27 $58.56 345M $20.2B $1.28B $8.36B $27.29B
2025-09-27 $54.19 348M $18.86B $1.23B $8.83B $26.46B
2025-06-28 $55.24 348M $19.22B $1.55B $9.06B $26.74B
2025-03-29 $62.37 355M $22.14B $992M $9.07B $30.22B
2024-12-28 $57.97 355M $20.58B $2.29B $9.81B $28.09B
2024-09-28 $59.69 346.6M $20.69B $1.72B $9.79B $28.76B
2024-06-29 $57.14 354M $20.23B $2.57B $11.02B $28.68B
2024-03-30 $58.73 354M $20.79B $2.18B $10.96B $29.57B
2023-12-30 $53.75 354M $19.03B $1.48B $9.68B $27.22B
2023-09-30 $50.49 348.24M $17.58B $573M $9.51B $26.52B
2023-07-01 $51.04 354M $18.07B $699M $9.32B $26.69B