NASDAQ : JJSF

J&J Snack Foods Corp. — Institutional Ownership

$77.71 USD

$1.27 (1.66%)

Volume
135.25K
Average Volume
252.21K
Market Capitalization
$1.46B
P/E Ratio
25.95
Dividend Yield
4.12%
Price Target
Year High
$129.24
Year Low
$68.87
Day High
Day Low
Payout Ratio
$1.05
Current Ratio
$2.09
Institutional Ownership Summary
Institutional Ownership %

2.32%

Investors Holding

38

change: -210 | last: 248
Increased Positions

18

change: -109 | last: 127
Reduced Positions

16

change: -75 | last: 91
New Positions

7

change: -31 | last: 38
Sold Positions

215

change: 167 | last: 48
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -763.3333 | last: 7.6333
Total Invested

32.39M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-29 Vanguard Portfolio Management 1.11M 5.84%
2026-03-27 The Vanguard Group - 0.00%
2025-11-13 Macquarie Group Limited 877.85K 4.50%
2025-10-17 BlackRock, Inc. 2.19M 11.20%
2025-08-11 Macquarie Group Limited 1.06M 5.46%
2025-07-07 The Vanguard Group 1.97M 10.13%
2024-10-09 Allspring Funds Management, LLC 1.16M 5.97%
2024-10-09 Allspring Global Investments, LLC 1.62M 8.34%
2024-10-09 Allspring Global Investments Holdings, LLC 1.62M 8.34%
2022-02-14 Macquarie Management Holdings Inc 1.03M 5.39%
2022-02-14 Macquarie Investment Management Business Trust 1.03M 5.39%
2022-02-14 Macquarie Investment Management Group Limited 124.0 0.00%
2022-02-14 Macquarie Group Limited 1.03M 5.39%
2022-02-10 The Vanguard Group - 23-1945930 1.5M 7.86%
2022-01-27 Wells Fargo & Company 64993.0 0.34%
2022-01-27 (1) BlackRock, Inc. 2.29M 12.00%
2022-01-25 (1) BlackRock, Inc. 2.29M 12.00%
2022-01-19 Allspring Funds Management, LLC 1.07M 5.59%
2022-01-19 Allspring Global Investments, LLC 1.35M 7.05%
2022-01-19 Allspring Global Investments Holdings, LLC 1.35M 7.07%
2021-02-12 10. 975.61K 5.14%
2021-02-12 10. 355.0 0.00%
2021-02-12 10. 975.61K 5.14%
2021-02-12 10. 975.26K 5.14%
2021-02-12 10. 975.26K 5.14%
2021-02-11 Wells Capital Management Incorporated 1.05M 5.54%
2021-02-11 Wells Fargo & Company 1.13M 5.94%
2021-02-10 The Vanguard Group - 23-1945930 1.65M 8.71%
2021-01-27 (1) BlackRock, Inc. 2.4M 12.70%
2020-02-04 (1) BlackRock, Inc. 2.46M 13.00%
2019-01-31 (1) BlackRock, Inc. 2.16M 11.50%
2018-02-09 (1) BlackRock, Inc. 1.87M 10.00%
2016-01-26 (1) BlackRock, Inc. 1.39M 7.40%
2014-01-29 (1) BlackRock, Inc. 1.28M 6.80%
2012-02-15 Neuberger Berman Equity Funds 1.17M 6.24%
2012-02-15 Neuberger Berman Management LLC 1.27M 6.77%
2012-02-15 Neuberger Berman LLC 1.42M 7.60%
2012-02-15 Neuberger Berman Group LLC 1.42M 7.60%
2012-01-13 52-2343049 1.3M 6.96%
2011-04-05 52-2343049 1.87M 10.08%
2011-01-13 52-2343049 1.69M 9.10%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 1.11M 6.06%
2009-06-11 Neuberger Berman LLC 1.64M 8.90%
2009-06-11 Neuberger Berman Management LLC 1.39M 7.54%
2009-06-11 Neuberger Berman Group LLC 1.64M 8.90%
2009-06-11 Neuberger Berman Equity Funds 1.38M 7.51%
2009-02-05 XXX-XX-XXXX 3.97M 22.00%
2008-05-09 Neuberger Berman Management Inc. 1.51M 8.09%
2008-05-09 Neuberger Berman Inc. 1.88M 10.07%
2008-05-09 Neuberger Berman Equity Funds 1.5M 8.01%
2008-05-09 Neuberger Berman, LLC 1.88M 10.07%
2007-02-13 134035886 1.18M 6.35%
2007-02-13 061523639 1.26M 6.82%
2007-02-13 135521910 1.26M 6.82%
2007-02-13 132667528 1.18M 6.36%
2006-02-09 ###-##-#### 4.51M 25.00%
2005-01-24 ###-##-#### 2.36M 28.00%
2004-04-02 ###-##-#### 2.34M 26.00%
2004-02-12 22-3367558 441.38K 5.03%
2003-02-13 22-3367558 468.94K 5.30%
2003-02-07 (. 411.4K 4.62%
2002-02-14 22-3367558 697.99K 8.07%
2002-01-16 ###-##-#### 2.49M 28.00%
2001-02-09 ###-##-#### 2.4M 28.70%
2001-01-30 04-1054788 114.6K 1.36%
2000-03-02 ###-##-#### 2.36M 26.00%
2000-03-02 ###-##-#### 2.36M 26.00%
2000-02-22 22-3367558 598.26K 6.70%
2000-02-22 22-3367558 598.26K 6.70%
2000-02-10 Tax ID #43-1225960 451.95K 5.00%
2000-02-10 Tax ID #43-1225960 451.95K 5.00%
2000-02-09 13-3298866 551.02K 6.11%
2000-02-09 13-3298866 551.02K 6.11%
2000-01-27 04-1054788 422.4K 4.69%
2000-01-27 04-1054788 422.4K 4.69%
1999-02-12 ###-##-#### 3.1M 33.00%
1999-02-12 ###-##-#### 3.1M 33.00%
1999-02-09 Tax ID #43-1225960 505.05K 5.60%
1999-02-09 Tax ID #43-1225960 505.05K 5.60%
1999-02-09 Tax ID #43-1225960 505.05K 5.60%
1999-02-09 Tax ID #43-1225960 505.05K 5.60%
1999-01-21 04-1054788 809.7K 8.96%
1998-01-30 ###-##-#### 3.06M 34.00%
1998-01-30 ###-##-#### 3.06M 34.00%
1998-01-15 04-1054788 931.6K 10.50%
1998-01-15 04-1054788 931.6K 10.50%
1997-04-07 04-1054788 889K 10.16%
1997-04-07 04-1054788 889K 10.16%
1997-02-21 ###-##-#### 3.01M 34.00%
1997-02-21 ###-##-#### 3.01M 34.00%
1997-02-07 04-1054788 871.4K 9.87%
1997-02-07 04-1054788 871.4K 9.87%
1996-06-06 04-1054788 891.9K 10.09%
1996-06-06 04-1054788 891.9K 10.09%
JJSF Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-09-27 $95.61 19.47M $1.86B $105.89M $163.56M $1.92B
2024-09-28 $170.85 19.39M $3.31B $73.39M $160.5M $3.4B
2023-09-30 $163.65 19.26M $3.15B $49.58M $121.91M $3.22B
2022-09-24 $136.60 19.15M $2.62B $35.18M $111.56M $2.69B
2021-09-25 $153.65 19.01M $2.92B $283.19M $60.53M $2.7B
2020-09-26 $128.89 18.9M $2.44B $195.81M $61.58M $2.3B
2019-09-30 $192.00 18.81M $3.61B $192.4M $1.06M $3.42B
2018-09-30 $149.25 18.69M $2.79B $111.48M $1.08M $2.68B
2017-09-30 $131.30 18.71M $2.46B $90.96M $1.24M $2.37B
2016-09-30 $119.12 18.65M $2.22B $140.65M $1.6M $2.08B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-28 $79.84 18.91M $1.51B $59.75M $192.53M $1.64B
2025-12-27 $89.86 19.32M $1.74B $66.76M $161.37M $1.83B
2025-09-27 $95.61 19.45M $1.86B $105.89M $163.56M $1.92B
2025-06-28 $111.68 19.47M $2.17B $77.38M $167.19M $2.26B
2025-03-29 $130.14 19.49M $2.54B $48.51M $168.22M $2.66B
2024-12-28 $156.19 19.47M $3.04B $73.56M $164.64M $3.13B
2024-09-28 $170.85 19.39M $3.31B $73.39M $160.5M $3.4B
2024-06-29 $162.37 19.4M $3.15B $64.05M $172.49M $3.26B
2024-03-30 $144.56 19.38M $2.8B $43.64M $178.58M $2.94B
2023-12-30 $167.14 19.34M $3.23B $50.02M $147.27M $3.33B
2023-09-30 $163.65 19.31M $3.16B $49.58M $121.91M $3.23B
2023-06-24 $156.12 19.26M $3.01B $65.64M $171.87M $3.11B