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概要

Krogerは米国最大級のスーパーマーケットチェーンの1つであり、Ralphs、Fred Meyer、Harris Teeter、およびフラッグシップのKrogerブランドを含むバナーの下で約2,800の店舗を運営しています。同社はWalmartおよびAmazonと競争するために、デジタル食料品オーダリング、配送インフラストラクチャ、およびプライベートレーベルブランドに大きく投資してきました。Krogerは消費者ステープル部門への防御的エクスポージャーを求める価値および配当投資家にアピールしています。

高配当株

Krogerは配当とバイバックを通じて株主に資本を還元してきた長い歴史を持ち、その守備的な食料品事業は経済低迷期にも配当を維持・成長させるために必要な安定したキャッシュフローを提供します。

小売株

約2,800店舗を持つ米国最大級の実店舗およびデジタル食料品小売業者の一つとして、Krogerは食品流通という不可欠かつ景気後退に強いビジネスへのエクスポージャーを投資家に提供する中核的な小売株です。

バリュー株

Krogerはアメリカ第2位の食料品小売業者としての規模にもかかわらず、継続的に低い株価収益率で取引されており、忍耐強い投資家にとって消費者必需品セクターの典型的なバリュー株です。

Key Financials KR

価格 $71.25
変動(1日) +1.58%
変動 (30D) +14.04%
変動 (60D) +7.79%
変動 (90D) +9.95%
変動 (180D) +5.26%
変動 (1Y) +8.28%
変動 (5Y) +112.12%
P/E比 15.32
EPS (TTM) $4.65
52週レンジ $58.60 — $74.90
50日MA $63.51
出来高 6.44M

Data updated Feb 15 · Source: Twelve Data

4.1
2 reviews
Financial Stability
4.5
Sector Performance
4
Payout Ratio
3.5
Dividend Growth
3
Dividend Yield
2.5
Claude Opus 4.6
AI Review
4.0/5

Kroger stands as the largest pure-play supermarket chain in the U.S., offering investors a defensive, cash-generating business with steady fundamentals. The stock trades at a modest P/E of 15.32 with solid EPS of $4.65, reflecting classic value characteristics. Recent momentum has been strong, with shares up 14% over the past 30 days and trading near their 52-week high, well above the 50-day moving average of $63.51.

The bull case centers on Kroger's pricing power, expanding digital/delivery capabilities, and resilient grocery demand regardless of economic cycles. The 112% five-year return demonstrates consistent long-term value creation. Its private-label brands provide margin advantages over competitors.

On the bear side, grocery remains a razor-thin margin business facing intense competition from Walmart, Costco, and Aldi. The pending Albertsons merger faces regulatory uncertainty that could create volatility. The dividend yield, while consistent, is relatively modest compared to other income-focused alternatives, limiting its appeal as a pure dividend play.

Overall, Kroger represents a solid defensive holding with attractive valuation metrics for patient, value-oriented investors.

Financial Stability
4.5
Sector Performance
4
Payout Ratio
3.5
Dividend Growth
3
Dividend Yield
2.5
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.2/5

Kroger (KR) continues to demonstrate resilience as a top-tier defensive play in the retail sector. Trading at a P/E ratio of 14.77, the stock offers a reasonable valuation for value-oriented investors, particularly as it maintains momentum well above its 50-day moving average of $63.38. The company's strength lies in its massive scale and the success of its high-margin private label portfolio, which helps buffer against inflationary pressures and defends market share against discounters.

However, the investment thesis is currently complicated by the uncertainty surrounding the proposed merger with Albertsons. While approval would create a grocery behemoth capable of challenging Walmart more effectively, regulatory headwinds remain a significant risk. Additionally, the low-margin nature of the grocery business leaves little room for error. Despite these challenges, Kroger's consistent earnings power (EPS $4.65) and commitment to returning capital to shareholders make it a solid choice for conservative portfolios seeking stability.

Feb 12, 2026
Kroger Screenshot

Added: Feb 11, 2026

kroger.com

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