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USFDUS Foods Holding Corp.Sell4.8·$97.17+1.66%
SellModerate Confidence
Investment thesis

US Foods has maintained strong price momentum above its 200-day moving average with rising volume and 3 earnings beats in 4 quarters, but thin business quality metrics, sub-1% operating margins, and an asymmetry ratio well below the minimum acceptable threshold suggest the current price offers poor risk-adjusted entry.

Thesis pillars

  • Momentum Breadth StrengthDeteriorating
  • Thin Margins Quality FloorStable
  • Earnings Beat ConsistencyStable
  • +1 more pillar — see the Why tab for full reasoning

Full reasoning →

Open full analysis

US Foods Holding Corp. (USFD) Stock Analysis

Catalyst-Driven edge

SellVALUE-TRAP 2/5Moderate Confidence

Consumer Defensive · Food Distribution

Sell if holding. Engine safety override at $97.17: Quality below floor (3.7 < 4.0) triggers a hard block regardless of the otherwise-positive setup — overall score 4.8/10. Specifically: Elevated put/call ratio: 8.05; Below-average business quality; Negative price momentum.

US Foods distributes food and foodservice products to approximately 250,000 customer locations through 70+ distribution facilities and a fleet of 6,500+ trucks. The company generated $39.4 billion in net sales in fiscal year 2025 with no single customer exceeding 2% of total... Read more

$97.17-3.2% A.UpsideScore 4.8/10#6 of 7 Food Distribution
QualityF-score6 / 9FCF yield3.47%
Stop $91.17Target $103.07(resistance)A.R:R -0.5:1
Analyst target$104.50+7.5%16 analysts
$103.07our TP
$97.17price
$104.50mean
$61
$117

Sell if holding. Engine safety override at $97.17: Quality below floor (3.7 < 4.0) triggers a hard block regardless of the otherwise-positive setup — overall score 4.8/10. Specifically: Elevated put/call ratio: 8.05; Below-average business quality; Negative price momentum. Chart setup: No clear chart pattern; technical signals are mixed. Score 4.8/10, moderate confidence.

Passes 5/8 gates (clean insider activity, no SEC red flags, news events none recent, semi cycle peak clear, materials cycle peak clear). Fails on weak momentum and favorable risk/reward ratio. Suitability: moderate.

news + 30-day 8-K events · 5-min refresh

Recent developments

updated 2026-07-26
TrendMatrix Research · upcoming catalyst calendar

Upcoming dated catalysts

Thu, Aug 6, 202611d to earnings· next earnings call

Thesis

Rewards
No bull case signals
Risks
Target reached (-3.2% upside)
Quality below floor (3.7 < 4.0)
Value-trap signals (2/5): Margin compression (op margin 4.2%), Material insider selling (25 sells, 0.12% of cap)

Key Metrics

P/E (TTM)32.7
P/E (Fwd)17.7
Mkt Cap$21.4B
EV/EBITDA15.6
Profit Mgn1.7%
ROE15.1%
Rev Growth2.8%
Beta0.79
DividendNone
Rating analysts23

Quality Signals

Piotroski F6/9

Options Flow

P/C8.05bearish
IV42%normal
Max Pain$60-38.3% vs spot

Concentration Risks(10-K Item 1A)

  • MEDIUMCustomerGPO customers27%
    10-K Item 1: 'approximately 27% of our net sales in fiscal year 2025 were made to customers under terms negotiated by GPOs'
  • LOWCustomersingle largest GPO customers14%
    10-K Item 1: 'approximately 14% of our net sales in fiscal year 2025 that were made to customers that are members of a single GPO'

Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results.

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About TrendMatrix. TrendMatrix is a publisher of general securities research and market commentary. We publish on a regular schedule. All content is the same for every subscriber in a tier — we do not provide personalized investment advice and we do not take into account any individual subscriber's financial situation, investment objectives, risk tolerance, tax situation, or holdings.

Not investment advice. TrendMatrix is not a registered investment adviser. Our content is for informational and educational purposes only. Consult your own licensed investment adviser, broker, or tax professional before making any investment decision.

Conflicts and positions. The TrendMatrix editorial team frequently holds personal long-term positions in securities discussed. We disclose positions held at the time of publication on each piece. We maintain a trading-window policy: we do not initiate or close positions in the same direction as a TrendMatrix publication within 24 hours before or 72 hours after publication.

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Performance. Past performance is not indicative of future results. Performance figures reflect the published model only and do not reflect any individual subscriber's actual results.

Methodology · Editorial policy & full disclaimer

Rating Breakdown

3 floor-breakers

Momentum below the gate floor. Component breakdown shows what dragged the score down.static

Macd
0.0
Volume
0.1
Obv
1.0
Ma Position
6.0
Rsi
7.8
Uptrend pullback (RSI 37) - buy opportunityVolume distribution (falling OBV)Above 200-day MA

Growth below the gate floor. Component breakdown shows what dragged the score down.static

Revenue Growth
3.2
Earnings Growth
3.2

Quality below the gate floor. Component breakdown shows what dragged the score down.static

Gross Margin
0.0
Operating Margin
0.9
Net Margin
0.9
Roa
3.7
Moat
4.2
Current Ratio
4.4
Roe
5.0
Piotroski F
6.7
Fcf Quality
7.5
No competitive moat
GatesMomentum 3.0<4.5A.R:R -0.5=NEGATIVEEARNINGS PROXIMITY 11d<=14d (soft)Insider activity: OKNo SEC red flagsNEWS EVENTS NONE RECENTSEMI CYCLE PEAK CLEARMATERIALS CYCLE PEAK CLEARSuitability: Moderate
RSI
37 · Neutral
20D MA 50D MA 200D MAGOLDEN CROSSSupport $93.14Resistance $105.17

Price Targets

$91
$103
A.Upside-3.2%
A.R:R-0.5:1

Position Sizing

ConvictionNone
Suggested %0.5%
Max %1%
RegimeSteady

Risk Alerts

! Target reached (-3.2% upside)
! Quality below floor (3.7 < 4.0)
! Value-trap signals (2/5): Margin compression (op margin 4.2%), Material insider selling (25 sells, 0.12% of cap)

Earnings

B
B
B
M
3/4 beats
Next Earnings2026-08-06 (11d)

Verdict History

reverse chrono — latest first
Loading history...
Verdicts are recorded on every nightly pipeline run. Rows capture transitions (verdict flips, score deltas ≥0.3, entry/TP/SL changes). Rows with a ▶ can be expanded to see the change reason. Aggregate cohort performance is tracked in the recommendation ledger.
Frequently Asked Questions
Is USFD stock a buy right now?

Sell if holding. Engine safety override at $97.17: Quality below floor (3.7 < 4.0) triggers a hard block regardless of the otherwise-positive setup — overall score 4.8/10. Specifically: Elevated put/call ratio: 8.05; Below-average business quality; Negative price momentum. Chart setup: No clear chart pattern; technical signals are mixed. Prior stop was $91.17. Score 4.8/10, moderate confidence.

What is the USFD stock price target?

Take-profit target: $103.07 (-3.2% upside). Prior stop was $91.17. Stop-loss: $91.17.

What are the risks of investing in USFD?

Target reached (-3.2% upside); Quality below floor (3.7 < 4.0); Value-trap signals (2/5): Margin compression (op margin 4.2%), Material insider selling (25 sells, 0.12% of cap).

Is USFD overvalued or undervalued?

US Foods Holding Corp. trades at a P/E of 32.7 (forward 17.7). TrendMatrix value score: 5.2/10. Verdict: Sell.

What do analysts say about USFD?

23 analysts cover USFD with a consensus score of 4.2/5. Average price target: $105.

What does US Foods Holding Corp. do?US Foods distributes food and foodservice products to approximately 250,000 customer locations through 70+ distribution...

US Foods distributes food and foodservice products to approximately 250,000 customer locations through 70+ distribution facilities and a fleet of 6,500+ trucks. The company generated $39.4 billion in net sales in fiscal year 2025 with no single customer exceeding 2% of total sales; group purchasing organizations represented about 27% of net sales, with roughly 14% from customers of a single GPO.

Related stocks: PFGC (Performance Food Group Company) · SYY (Sysco Corporation) · ANDE (The Andersons, Inc.) · UNFI (United Natural Foods, Inc.)
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