albertsons llc stock overview
Albertsons Companies, Inc. (stock) — overview for "albertsons llc stock"
Short summary: Searches for albertsons llc stock commonly point to the publicly listed shares of Albertsons Companies, Inc. (NYSE: ACI), which is the parent company that operates Albertsons grocery banners. The name "Albertsons LLC" can refer to operating subsidiaries or investor vehicles, but market quotes, financials and analyst coverage are published for Albertsons Companies, Inc. (ACI). This article walks through naming and structure, listing details, trading metrics, financial performance, ownership, analyst coverage, risks, and where investors can find authoritative filings and price data. Throughout the article the phrase albertsons llc stock is used where readers search for that term so they can map it to the public equity ACI.
Naming and corporate structure
When people search for albertsons llc stock, they are often looking for market information on the publicly traded parent. Albertsons Companies, Inc. (ACI) is the publicly listed parent company. Within the corporate organization there are multiple subsidiaries and limited liability companies that operate or hold assets — for example, operating entities that run stores and investor vehicles such as investor holding LLCs. These private operating subsidiaries sometimes use the "Albertsons LLC" naming convention for legal or tax purposes.
Investors should track ACI for public market data because share prices, earnings releases, SEC filings (10-K, 10-Q) and analyst coverage are issued under the parent company name, Albertsons Companies, Inc., and ticker ACI. If a search specifically asks about albertsons llc stock, it is appropriate to clarify whether the user means the public equity (ACI) or a private subsidiary. Public trading data refers to the parent (ACI); subsidiary-specific information will appear in SEC exhibits or in the company’s investor-relations disclosures if material.
Company background
Albertsons Companies, Inc. is a large American grocery retailer operating multiple banners including Albertsons, Safeway, Vons, Jewel-Osco, Shaw's, Acme, Tom Thumb and others. The company’s business model centers on neighborhood grocery and pharmacy retail, private-label products, digital and loyalty programs, in-store and third-party delivery partnerships, and pharmacy/health services. Albertsons maintains a blended in-store and digital commerce approach and competes on assortment, price, convenience and loyalty.
Headquartered in Boise, Idaho, Albertsons operates thousands of stores across multiple U.S. states and employs a substantial workforce in retail, distribution and corporate roles. Primary revenue streams include retail grocery sales, pharmacy sales, fuel (where applicable), private-label product margins and services such as advertising and loyalty programs. Historically, the company’s scale and banner diversification have been core strategic strengths, enabling national purchasing scale while allowing local merchandising and banner-specific positioning.
Stock identification and listings
Ticker, exchange and identifiers
The publicly traded equity is listed under the ticker ACI on the New York Stock Exchange (NYSE). When users search for albertsons llc stock, quotes and market identifiers will map to ACI. Common market identifiers include the ISIN and CUSIP assigned to ACI ordinary shares; these are recorded on exchange and regulatory listings and can be found in the company’s SEC filings or market-data pages.
Share classes: Albertsons Companies, Inc. generally issues a single class of publicly traded common stock (ACI). Any preferred shares, restricted stock units (RSUs) or subsidiary equity instruments are described in filings and are separate from the common stock that trades on the NYSE.
IPO and listing history
Albertsons Companies, Inc. returned to public markets through an initial public offering (IPO) in 2020. That listing placed the public equity under ticker ACI on the NYSE and marked a transition from the private-equity and sponsor-controlled ownership structure into a publicly traded company. Since the IPO, the company has completed multiple corporate actions reported in filings — including debt refinancings, occasional share-authority proposals and routine SEC filings — which are the primary sources for investors tracking albertsons llc stock.
As of January 27, 2026, per Albertsons’ investor relations disclosures and market-data summaries, ACI’s public listing remains active on the NYSE with routine quarterly reporting and proxy disclosures (source: Albertsons Companies investor relations; NYSE data).
Key market and trading data
Price and market capitalization
Market participants report share price and market capitalization in real time through exchanges and market-data providers. Market capitalization equals the company’s share price multiplied by shares outstanding and is used to classify the company’s size. Albertsons (ACI) is typically categorized in the mid-cap to large-cap range depending on the share price environment.
For example, as of January 27, 2026, market data providers reported ACI’s market capitalization at approximately $12.5 billion and a closing share price near $17.20 per share (source: Yahoo Finance and NYSE quote pages). These values change intraday and daily; always consult live feeds from market-data providers or the company’s investor relations for the latest market-cap and price for any search related to albertsons llc stock.
Trading statistics
Typical trading statistics investors monitor include average daily volume, public float, shares outstanding, short interest and beta (a measure of market volatility relative to a benchmark). As of January 27, 2026, major market-data sources reported the following illustrative figures for ACI (reported figures are rounded):
- Average daily volume (30-day): ~6.5 million shares
- Shares outstanding: ~730 million shares
- Float: ~650 million shares (reflecting sponsor and insider holdings excluded from float)
- Short interest: ~3% of float (varies month to month)
- Beta (1-year): ~0.9 (reflecting grocery retail's mixed correlation with broader markets)
These trading characteristics indicate that while ACI is actively traded with reasonable liquidity, stock performance can still be influenced by larger block trades or sponsor activity given any concentrated holdings. Investors searching for albertsons llc stock should check current short interest and volume data from market-data pages to assess intraday liquidity and trading risk.
Price history and performance
Price history helps contextualize recent performance. Investors typically look at 52-week highs and lows, multi-year performance since the IPO, and notable price moves around earnings, M&A or capital markets events. As of January 27, 2026, market-data summaries listed ACI’s 52-week range roughly between $13.40 and $21.85 (source: Yahoo Finance, TradingView). Historically, ACI has shown periods of volatility around macroeconomic conditions, commodity/food inflation cycles, and sector-specific news.
If you are searching for albertsons llc stock to evaluate historical returns, look for annotated price charts on financial portals and review quarterly reports and investor slides that explain revenue and margin drivers during periods of strong or weak price performance.
Financial performance and key metrics
Revenue and profitability
Grocery retail is characterized by high revenue but relatively low margins compared with technology or financial firms. Albertsons generates revenue primarily from merchandise sales (grocery, fresh produce, meat, deli), pharmacy sales and services, private-label products, and ancillary services. Gross margins reflect merchandise mix; operating margins are influenced by labor, supply chain costs, and promotional spending.
According to the company’s latest annual report and trailing twelve-month (TTM) summaries, Albertsons reported consolidated annual revenue in the tens of billions of dollars. For example, for fiscal year ending 2024 (reported in 10-K filings), Albertsons disclosed revenue near $86 billion and adjusted operating income figures consistent with grocery-industry norms (source: Albertsons 2024 Annual Report and 10-K). Net income and margin measures can fluctuate year to year; grocery margins are typically modest, and profitability gains often come from cost control, pricing, private-label expansion and higher-margin services.
When users search for albertsons llc stock, they should review the company’s most recent 10-Q or earnings presentation for quarter-to-quarter revenue trends, comparable store sales (same-store sales), and commentary on supply-chain or labor cost impacts.
Balance sheet & cash flow
Balance-sheet strength and cash-flow generation are key diagnostics for retail chains. Albertsons historically carried meaningful leverage due to past acquisitions and sponsor transactions that built scale. Key balance-sheet items investors watch include total debt (often measured as gross debt and net debt after cash), covenant terms, maturities, and liquidity reserves.
Free cash flow (FCF) and operating cash flow trends indicate the company’s ability to fund operations, dividends, share repurchases and debt servicing. Albertsons has typically produced positive operating cash flow given its large revenue base, but free cash flow can be affected by capital expenditures for store remodels, technology investments for e-commerce, and working capital cycles. As of the latest filings through 2024, Albertsons reported robust operating cash flow in the most recent fiscal year and guidance that prioritized debt reduction and reinvestment in stores (source: Albertsons 2024 Form 10-K and quarterly earnings releases).
Valuation metrics
Investors use several valuation ratios to compare companies. Common metrics for grocery retailers include price/earnings (P/E), enterprise value to EBITDA (EV/EBITDA), price/sales (P/S), and price/book (P/B). Because grocery margins are low and capital intensity moderate, EV/EBITDA is often more informative for cross-company comparisons than P/E alone.
Albertsons has at times traded at a lower P/E or EV/EBITDA multiple relative to non-grocery peers due to margin sensitivity and leverage. As of January 27, 2026, consensus valuation snapshots placed ACI in a moderate valuation band with an illustrative trailing P/E near the high single digits to low double digits and EV/EBITDA in a range typical for grocery operators (source: Reuters company page; Yahoo Finance valuation data). Exact multiples vary by data provider and the treatment of one-time items in earnings.
Dividends, buybacks and corporate actions
Dividend policy
Albertsons has historically maintained a dividend policy that is subject to board approval, cash-flow generation and debt covenants. Dividend amounts and yield change over time with board decisions and earnings performance. For investors searching for albertsons llc stock, review the company’s most recent dividend declarations in earnings releases and the investor relations dividend history table.
As of January 27, 2026, Albertsons paid a regular quarterly dividend with an indicated annualized yield near 2.2% reported by market-data providers (source: company dividend notices and market-data summaries). Ex-dividend dates, record dates and payment dates are disclosed in press releases and proxy materials.
Share repurchases & debt refinancings
Share repurchase programs and debt refinancings are periodically announced in filings and investor communications. Albertsons has used debt refinancings to extend maturities or reduce interest costs and occasionally authorized share repurchase capacity depending on the company’s leverage targets and covenant constraints. Any active buyback program, debt redemption or refinancing agreement will be reported in 8-K filings and quarterly statements; these actions can materially affect share count and net leverage metrics relevant for anyone researching albertsons llc stock.
Investors should consult recent SEC filings for the latest authorized repurchase amount or details on any debt-exchange offers or refinancing completed in the last 12–18 months (source: Albertsons 8-K filings and investor relations updates).
Ownership and insider/institutional holders
Major shareholders
Ownership of publicly traded shares is often split between institutional investors, retail holders and sponsor/insider stakes. At times, sponsor investor vehicles or private-equity investors maintain meaningful stakes through holding companies or LLCs, which is why searches for albertsons llc stock sometimes surface references to investor holding LLCs.
Typical largest holders include mutual funds, index funds, and other institutional investors. Sponsor or founding ownership may be grouped under investor holdings LLC names in filings. As of January 27, 2026, major institutional holders included large asset managers and funds reported in 13F filings; sponsor or insider ownership percentages are disclosed in the company’s proxy statement and Form 4 insider filings (source: SEC proxy disclosures; 13F summaries).
Ownership implications
Concentrated insider ownership or substantial sponsor holdings can affect liquidity, corporate governance and the public float available for trading. For example, if a significant portion of shares are held by a sponsor or investor holding LLC, trading volume and public float may be smaller than total shares outstanding, which can amplify price moves on significant buy or sell orders. Anyone investigating albertsons llc stock should review the company’s beneficial ownership table in the proxy statement to understand governance dynamics and potential shareholder voting blocks.
Analyst coverage and market sentiment
Analyst ratings & price targets
Sell-side coverage for Albertsons (ACI) is provided by major broker-dealers and independent research firms. Analysts publish ratings (buy/hold/sell), price targets and detailed coverage notes on the company’s financial outlook. Consensus ratings and mean target prices are compiled by data aggregators and change as new quarterly reports are published.
As of January 27, 2026, consensus analyst coverage on ACI ranged from cautious to constructive with a mixed distribution of ratings and target prices reflecting differing views on margin recovery, debt reduction and digital growth opportunities (source: analyst consensus pages on market-data providers). Investors should read individual analyst notes for the logic behind ratings rather than relying solely on summary counts.
Key sell-side themes
Common bullish arguments for ACI include scale benefits across banners, private-label expansion, loyalty and data monetization potential, and operational improvements that can lift margins. Bearish arguments often cite heavy leverage, margin pressure from food inflation and wage costs, intense competition from discounters and big-box players, and the structural challenge of converting in-store shoppers to higher-margin digital channels.
When researching albertsons llc stock, compare these themes across recent analyst notes and company management commentary in earnings calls.
Recent developments and material events
Earnings and guidance updates
Recent quarterly results and guidance updates are key events that move the stock. For example, in the most recent earnings release through the end of 2025, Albertsons reported same-store sales trends, gross margin pressures due to commodity input costs, and guidance for capital spending to improve omni-channel capabilities and store remodels (source: Albertsons Q4 2025 earnings release). As of January 27, 2026, company commentary emphasized debt repayment priority while investing in loyalty and digital initiatives.
Strategic partnerships, M&A and regulatory items
Albertsons has engaged in strategic partnerships historically to expand delivery capabilities and advertising or loyalty partnerships. Any mergers, acquisitions, divestitures, or material regulatory proceedings would be disclosed in 8-K filings and press releases. If you see references to a private LLC with the Albertsons name while searching for albertsons llc stock, check whether that LLC was a vehicle used for M&A activity or sponsor holdings — details appear in transaction disclosures.
Material regulatory actions or anti-competitive reviews that could affect operations would be separately disclosed with dates and regulatory body information in filings. Investors tracking albertsons llc stock should monitor news feeds and the company’s press-release archive for these items.
Risks and investment considerations
Business risks
Key business risks for Albertsons include intense competition in grocery and pharmacy, margin sensitivity to commodity and labor cost changes, shifts in consumer behavior toward e-commerce and convenience, and the capital intensity of maintaining and remodeling stores. Food-price inflation or deflation affects both topline sales and cost of goods sold, making margin management critical for performance.
Financial risks
Leverage and interest-rate sensitivity are recurring financial risks. High debt levels can limit financial flexibility, increase interest expense in a rising-rate environment, and constrain the company’s ability to pursue share repurchases or higher dividends. Monitoring debt maturities, covenant terms and refinancing plans is essential for anyone evaluating albertsons llc stock.
Market/trading risks
Trading risks include volatility related to earnings surprises, sector rotations, and concentrated ownership that can reduce effective float. Short interest and liquidity patterns may amplify price moves. For traders and investors interested in albertsons llc stock, review intraday volume, block trades, and month-to-month short interest updates to understand potential market-moving dynamics.
Role in portfolios and ETFs
Investors use ACI for several portfolio roles: as a value exposure to defensive consumer staples and grocery retail; for income through dividends (subject to board policy); and as a sector allocation within consumer staples or retail baskets. Albertsons may appear in ETFs that target large-cap consumer staples or grocery/retail sub-sectors, and it can be included in actively managed funds focused on retail or turnaround opportunities.
If you search for albertsons llc stock to find funds that hold the company, consult ETF holdings pages on market-data providers and the fund’s latest disclosure documents to see weighting and turnover.
Regulatory filings and investor resources
Primary authoritative sources for researching albertsons llc stock include:
- Albertsons Companies investor relations page (for earnings releases, investor presentations and press releases) — check the most recent quarterly release and investor deck.
- SEC filings: Form 10-K (annual report), Form 10-Q (quarterly), Form 8-K (material events), proxy statements and Form 4 insider transaction reports.
- Exchange listings: NYSE quote pages for live price and trading notices.
- Major market-data providers for consolidated quotes, analyst consensus, and historical charts (examples: Yahoo Finance, Reuters/Refinitiv, TradingView, Finviz, Macrotrends).
As of January 27, 2026, key filings through the end of fiscal 2025 and the latest 10-Q were available on the SEC EDGAR system and the company’s investor-relations site (source: Albertsons IR; SEC EDGAR).
See also
- Peers and competitors: Kroger, Walmart, Costco — compare scale, margins and omnichannel strategies.
- Supermarket industry pages and sector metrics: supermarket margins, same-store sales, and consumer staples indices.
- Guides to reading SEC filings (10-K, 10-Q, proxy) for retail companies.
References and data sources
This article used the following principal sources for market data, filings and company commentary. Dates indicate the reporting or access date to provide time context:
- Albertsons Companies, Inc. investor relations and press releases (accessed and referenced as of January 27, 2026) — for earnings, dividends and corporate disclosures.
- NYSE quote and listing information (as of January 27, 2026) — for ticker and exchange confirmation.
- Yahoo Finance market summary for ACI (as of January 27, 2026) — for illustrative market-cap, price, 52-week range and volume data.
- Reuters/Refinitiv company page (as of January 27, 2026) — for analyst consensus and valuation snapshots.
- TradingView and Finviz aggregated data (as of January 27, 2026) — for charts and technical statistics.
- SEC filings (Forms 10-K, 10-Q, 8-K, proxy statements) filed by Albertsons Companies, Inc. (latest filings through fiscal 2025 and Q4 2025, accessed January 27, 2026) — for audited financials, ownership tables and material events.
Note: All statistics and market data quoted above are snapshots reported by the listed sources on the dates shown. Market prices and statistics change continuously; for real-time trading and the most recent filings consult the company’s investor relations and market-data feeds.
Further steps
If you were searching specifically for albertsons llc stock, the likely public-equity match is ACI. To follow or trade ACI, consider monitoring the company’s investor-relations announcements, SEC filings and live quotes for the NYSE listing. For traders and Web3 users seeking custodial platforms or crypto-related brokerage services, consider Bitget for trading services and Bitget Wallet for secure custody when interacting with tokenized equities or other digital assets. Explore Bitget to view market data, set alerts and manage orders for stocks and related products.
Please note: this article is informational. It is not investment advice. For personalized investment decisions consult a licensed financial advisor and review up-to-date filings and market data before making transactions involving albertsons llc stock.








