Where Does Lamb Weston Stock Rank Among Competitors?

LW: Lamb Weston logo
LW
Lamb Weston

Lamb Weston’s stock experienced a significant decline over the past year, but how does it truly measure up against peers navigating dynamic food markets? A closer look reveals solid profitability and unique positive revenue growth, and a moderate valuation, but challenges from volatile input costs and evolving consumer preferences could limit upside.

  • LW’s 12.4% operating margin reflects strong efficiency, but trails KHC’s 19.5%, signaling KHC’s superior brand power and cost control.
  • LW’s 2.3% revenue growth, though low, outpaces peers, indicating demand challenges in a competitive, mature food processing market.
  • LW’s 29.4% stock drop & 14.9 PE signal investor concern for future profitability due to margin pressures & sluggish demand.

Here’s how Lamb Weston stacks up across size, valuation, and profitability versus key peers.

  LW CAG KHC GIS THS BGS
Market Cap ($ Bil) 5.8 7.9 27.8 23.7 1.2 0.3
Revenue ($ Bil) 6.5 11.2 25.2 18.8 3.3 1.8
PE Ratio 14.9 -81.0 -6.4 9.4 -5.0 -1.3
LTM Revenue Growth 2.3% -5.8% -3.7% -5.7% -0.7% -6.0%
LTM Operating Margin 12.4% 11.7% 19.5% 15.5% 5.5% 9.9%
LTM FCF Margin 10.1% 7.8% 14.4% 9.5% 3.0% 3.0%
12M Market Return -29.4% -32.6% -13.4% -21.6% -28.1% -25.2%

For more details on Lamb Weston, read Buy or Sell LW Stock. Below we compare LW’s growth, margin, and valuation with peers across years

Revenue Growth Comparison

Relevant Articles
  1. How United Airlines Stock Gained 60%
  2. What Is Happening With Palantir Technologies Stock?
  3. Why Alphabet Stock Jumped 60%?
  4. Guidewire Software Stock To $109?
  5. Docusign Stock Tumbled 21% – Opportunity or Trap?
  6. With AeroVironment Stock Sliding, Have You Assessed The Risk?

  LTM 2025 2024 2023 2022
LW 2.3% -0.3% 20.9% 30.5%  
CAG -5.8% -3.6% -1.8% 6.4%  
KHC -3.7% -3.0% 0.6% 1.7%
GIS -5.7% -1.9% -1.2% 5.8%  
THS -0.7% -2.3% 4.1% 17.2%
BGS -6.0% -6.3% -4.7% 5.2%

Operating Margin Comparison

  LTM 2025 2024 2023 2022
LW 12.4% 11.9% 16.5% 16.5%  
CAG 11.7% 12.6% 15.3% 14.9%  
KHC 19.5% 20.7% 19.6% 17.2%
GIS 15.5% 16.9% 18.5% 15.2%  
THS 5.5% 4.4% 4.4% 1.5%
BGS 9.9% 11.0% 11.6% 9.2%

PE Ratio Comparison

  LTM 2025 2024 2023 2022
LW 14.9 16.7 13.3 15.5  
CAG -81.0 7.2 38.3 20.1  
KHC -6.4 10.7 13.2 19.2
GIS 9.4 11.2 14.7 14.9  
THS -5.0 45.8 36.9 -15.9
BGS -1.3 -1.4 -7.7 -65.1

Still not sure about LW stock? Consider portfolio approach.

Multi Asset Portfolios Offer More Upside With Less Risk

Single markets are unpredictable but different assets react differently. A multi asset portfolio cuts downside shocks while keeping upside on the table.

The asset allocation framework of Trefis’ Boston-based, wealth management partner yielded positive returns during the 2008-09 period when the S&P lost more than 40%. Our partner’ strategy now includes Trefis High Quality Portfolio, which has a track record of comfortably outperforming its benchmark that includes all 3 – the S&P 500, S&P mid-cap, and Russell 2000 indices