Data as of:
brimindinvest.com / compare / k-vs-postLIVE
K
K ·
$83.44
+0.14% this month
VERSUS
COMPARE
POST
POST ·
$77.86
-2.46% this month
Comparison scoreboard
K LEADS 3/5
AI Scorei
K 39.2
POST 33.4
1Y Returni
K +4.19%
POST -24.47%
Fwd P/Ei
K 21.97
POST 11.71
Target Up.i
K -0.03%
POST +24.72%
Op. Margini
K 15.03%
POST 10.28%
Metrics last refreshed: 9/18/2026
Quick take

K vs POST Comparison: AI Score, Valuation, Performance and Upside

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Compare Kellanova's global snacking-and-cereal portfolio ahead of its Mars acquisition against Post Holdings' acquisition-driven growth strategy.

Use this Kellanova vs Post Holdings comparison to evaluate the key differences across valuation, growth, profitability, and risk before making an investment decision.

Live analysis · updated 9/18/2026

K holds the edge across 3 of 5 key metrics in this comparison. K has delivered stronger 1-year price return (+4.19% vs -24.47%), though POST has the better forward P/E setup (11.71x vs 21.97x for K). K leads on both revenue growth (0.80%) and operating margin (15.03%), suggesting a stronger fundamental setup on both dimensions. Analyst consensus implies meaningfully more upside for POST (+24.72%) than for K (-0.03%).

Normalized 1Y performance
K
POST
Recent returns
K
POST
Analyst price targets & sentiment

Human Wall Street analysts' price targets, typically implying a ~12-month view — a separate signal from this site's own AI Prediction Signal further down the page, which is a 5-/30-day machine-learning forecast based on price history alone.

K
Price target range
analyst mean$83.42
current price$83.44
-0.0% upside to analyst mean
POST
Price target range
analyst mean$105.17
current price$77.86
+24.7% upside to analyst mean
Performance & AI score
Performance & AI score
MetricKPOST
AI scorei39.233.4
AI ranki#1281#2029
Latest closei$83.44$77.86
1M returni+0.14%-2.46%
6M returni+2.24%-20.07%
1Y returni+4.19%-24.47%
$10,000 invested — hypothetical growth (dividends reinvested)

How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?

$10,000 invested — hypothetical growth (dividends reinvested)
PeriodKPOST
1Y ago$10.48K (+4.8%)
started 2024-12-12
$7.57K (-24.3%)
started 2025-09-17
5Y ago$19.56K (+95.6%)
started 2020-12-14
$11.05K (+10.5%)
started 2021-09-17
10Y ago$24.65K (+146.5%)
started 2015-12-14
$14.96K (+49.6%)
started 2016-09-19

Hypothetical — past performance does not guarantee future results.

Valuation & upside potential
Valuation & upside potential
MetricKPOST
Market capi$29.03B$3.82B
Trailing P/Ei22.8015.33
Forward P/Ei21.9711.71
Price/SalesiN/AN/A
EV/Revenuei2.771.31
Analyst targeti$83.42$105.17
Target upsidei-0.03%+24.72%
Growth, profitability & risk
Growth, profitability & risk
MetricKPOST
Revenue growthi0.80%-1.80%
Earnings growthi-16.20%-27.90%
EPS growthi-16.20%-27.90%
FCF margini+3.98%+4.69%
Operating margini15.03%10.28%
Profit margini10.08%3.48%
ROIC proxyi32.11%8.28%
Return on equityi32.11%8.28%
Dividend yieldi2.78%N/A
Payout ratioiN/A0.00%
Dividend growth streakiNo increase yetN/A
Betai0.250.32
Debt/equityi145.10247.07
Current ratioi0.681.85
Quick ratioi0.380.90
Correlation

Over the past year, K and POST have moved barely in the same direction (correlation of 0.09), based on daily returns.

1Y
0.09
-1.0+1.0
5Y
0.34
-1.0+1.0
10Y
0.40
-1.0+1.0
Drawdown & downside risk

Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.

1Y risk snapshot
K max drawdowni7.14%
POST max drawdowni33.49%
K max wkly dropi3.27%
POST max wkly dropi15.55%
5Y risk snapshot
K max drawdowni30.15%
POST max drawdowni36.85%
K max wkly dropi9.75%
POST max wkly dropi15.55%
10Y risk snapshot
K max drawdowni34.69%
POST max drawdowni36.85%
K max wkly dropi18.71%
POST max wkly dropi18.68%
Performance metrics by period
Performance metrics by period
PeriodMetricKPOST
1YGrowthi+4.10%-24.32%
CAGRi+4.11%-24.35%
Volatilityi7.28%31.27%
Sharpe ratioi-0.02-0.88
Sortino ratioi-0.04-1.14
Max drawdowni7.14%33.49%
Current drawdowni0.24%32.07%
Avg drawdowni1.43%12.96%
Ulcer Indexi2.36%15.78%
Max daily dropi1.70%12.79%
Max wkly dropi3.27%15.55%
5YGrowthi+66.64%+10.47%
CAGRi+10.77%+2.01%
Volatilityi19.23%23.69%
Sharpe ratioi0.390.01
Sortino ratioi0.620.02
Max drawdowni30.15%36.85%
Current drawdowni0.24%35.50%
Avg drawdowni7.03%8.53%
Ulcer Indexi9.95%11.15%
Max daily dropi8.32%12.79%
Max wkly dropi9.75%15.55%
10YGrowthi+71.04%+49.65%
CAGRi+5.52%+4.12%
Volatilityi21.20%24.74%
Sharpe ratioi0.150.11
Sortino ratioi0.210.15
Max drawdowni34.69%36.85%
Current drawdowni0.24%35.50%
Avg drawdowni12.86%8.78%
Ulcer Indexi15.40%11.26%
Max daily dropi10.92%12.79%
Max wkly dropi18.71%18.68%
AI Prediction Signali
Members only
Next 5 trading days
K
+2.8%BUY
POST
+1.1%HOLD
Next 30 trading days
K
+6.4%BUY
POST
+3.2%HOLD

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Business comparison
Business comparison
CategoryKPOST
CompanyKPOST
SectorConsumer DefensiveConsumer Defensive
IndustryN/APackaged Foods
Core businessN/APost Holdings, Inc. operates as a consumer packaged goods holding company in the United States and internationally.
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