在2025年第三季度,主要投资者减少了百事可乐的股份,因为对其高回报率和混合增长前景的担忧.
In Q3 2025, major investors reduced PepsiCo stakes, amid concerns over its high payout ratio and mixed growth outlook.
2025年,RWC资产管理公司将百事可乐公司的股权减少了6.9%,而Schmidt P J投资管理公司将股权削减7.5%,尽管自由投资管理公司增加了60.9%。
In Q3 2025, RWC Asset Management reduced its PepsiCo stake by 6.9%, while Schmidt P J Investment Management cut its holding by 7.5%, though Liberty One Investment Management increased its stake by 60.9%.
PepsiCo的股票交易额约为141.36美元,股息收益率为4.0%,但其支付比率为108.17%,超过收入。
PepsiCo’s stock traded around $141.36 with a 4.0% dividend yield, but its payout ratio of 108.17% exceeds earnings.
分析家持有协商一致的“持住”评级,对消费者偏好的变化导致的近期增长意见不一,尽管AI一体化和领导层雇用对长期效率持乐观态度。
Analysts hold a consensus “hold” rating, with mixed views on near-term growth due to shifting consumer preferences, despite optimism on long-term efficiency from AI integration and leadership hires.
机构所有权仍然很高,为73.07%,短期利息微不足道。
Institutional ownership remains high at 73.07%, and short interest is negligible.