SPB · NYSE · Household & Personal Products

Spectrum Brands

Makes branded pet, pest-control, garden, appliance and personal-care products for global retail channels.

$89.07
After-hours close+0.45 (+0.51%)
At close$88.62(+0.14%)
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Profile

Spectrum Brands Holdings, Inc.SPBConsumer Staples

Sells branded pet and aquatics supplies, pest controls, repellents, surface care, small appliances and personal-care devices through retail and online channels worldwide. Three segments remain consolidated, though a minority Oaktree investment has moved Home & Personal Care toward separation from the pet and home-and-garden businesses.

Operates three branded home-essentials businesses: Global Pet Care sells companion-animal supplies, pet food and aquatics products; Home & Garden covers pest controls, repellents and surface care; and Home & Personal Care offers small appliances, shaving, grooming and hair-care devices. Products reach consumers through major retailers, pet specialists, home-improvement stores, e-commerce and distributors across North America and international markets.

Builds demand through owned brands such as Tetra, FURminator, Spectracide, Cutter, Remington and Russell Hobbs, alongside licensed appliance names. Product development, brand marketing and retail distribution are the operating model. A recent Oaktree investment left the parent with a controlling interest in Home & Personal Care while advancing its separation. Results depend on concentrated retail customers, third-party manufacturing in Asia-Pacific, licensed trademarks, tariffs and weather-sensitive garden demand.

Company facts

CEODavid M. Maura
ListedJul 16, 2018
ExchangeNYSE
HeadquartersMiddleton, WI
CountryUnited States
Employees3,000
CIK0000109177
ISINUS84790A1051

Key statistics

Market cap$2.06B
EPS (ttm)$3.35
P/E (ttm)26.47
ROE4.2%
P/B1.11
P/S0.7160
Dividend yield2.12%
Beta0.72vs XLP 0.73

Year to date +47.6% · Average volume (30d) 354.1K

Analysts

Price target, next 12 months$96.00+8.3%Median of 21 analysts · vs the Aug 28 close
ConsensusBuy13 of 21 analysts rate it buy or better

Ratings

Target range

Latest analyst notes

DateFirmActionPrior ratingRatingPrior targetTarget
Aug 10, 2026Deutsche BankReiterateHold$81$96
Aug 10, 2026OppenheimerReiterateOutperform$85$100
Aug 10, 2026Wells FargoReiterateEqual Weight$85$90
Aug 10, 2026Canaccord GenuityReiterateBuy$99$110
Aug 10, 2026RBC CapitalDowngradeOutperformSector Perform$85$92

Earnings

EPS

Estimate$0.91
ReportedDue Nov 13, 2026

Revenue

Estimate$721.9M
ReportedDue Nov 13, 2026

History

Report dateEPS estEPSSurpriseRevenue estRevenueSurpriseNext session
Aug 7, 2026Q3 FY26$1.46$2.79+91.1%$732.2M$753.3M+2.9%+2.12%
May 7, 2026Q2 FY26$1.04$1.25+20.2%$676.5M$708.9M+4.8%+3.61%
Feb 5, 2026Q1 FY26$0.77$1.40+81.8%$668.1M$677.0M+1.3%+0.38%
Nov 13, 2025Q4 FY25$0.77$2.61+239.0%$673.9M$733.5M+8.8%−2.21%
View details

Financial highlights

12 quartersQ2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26
Revenue$675.7M$699.6M$733.5M$677.0M$708.8M$753.3M
Gross profit$253.4M$264.1M$256.6M$241.6M$274.8M$370.4M
Operating income$19.5M$31.3M$30.3M$30.9M$57.7M$119.9M
Net income$900.0K$19.9M$55.6M$28.4M$22.5M−$26.8M
Diluted EPS$0.03$0.80$2.29$1.25$0.97−$1.16
Gross margin37.5%37.8%35.0%35.7%38.8%49.2%
Operating margin2.9%4.5%4.1%4.6%8.1%15.9%

Fiscal years (4-quarter sums)FY21 $3.00B · FY22 $3.13B · FY23 $2.92B · FY24 $2.96B · FY25 $2.81B

Revenue by product · Q3 FY26

Home And Personal Care$264.4M · 35%
Global Pet Supplies$263.7M · 35%
Home And Garden Business$225.2M · 30%

Revenue by geography · Q3 FY26

United States$456.4M · 61%
EMEA$201.1M · 27%
Latin America$60.5M · 8%
Asia Pacific$23.6M · 3%
North America, Excluding United States$11.7M · 2%

Balance sheet, Jun 28, 2026Cash & short-term investments $258.9M · Total debt $748.2M · Total assets $3.58B · Shareholders' equity $1.85B

Dividends

Next ex-date
Nov 25, 2026
estimated · in 88 days
Annual dividend
$1.88
per share
Dividend yield
2.12%
Schedule
Quarterly
4 payments a year

Raised for 10 straight years — most recently to $0.47 from $0.42 in Nov 2024. To collect a payout, hold shares through the close before the ex-date.

History

Ex-dateRecordPaidAmountNote
Aug 25, 2026Aug 25Sep 22$0.47
May 26, 2026May 26Jun 16$0.47
Feb 17, 2026Feb 17Mar 10$0.47
Nov 24, 2025Nov 24Dec 9$0.47
Aug 26, 2025Aug 26Sep 23$0.47
May 27, 2025May 27Jun 17$0.47
Feb 18, 2025Feb 18Mar 11$0.47
Nov 26, 2024Nov 26Dec 17$0.47raised from $0.42
View details

Ownership

Institutions 126.98%Insiders 4.87%

A 13F quarter can total more than the shares outstanding — sub-advisers file the same block twice, and a filer's own share count can be a quarter stale. No split is drawn from it.

Shares outstanding 23.19M · Float 20.10M · 86.7% free float

Top shareholders13F · 13D/G · Form 4

HolderShares% outstandingFormFiled
Pzena Investment Management LLC2.42M10.44%13FAug 7, 2026
American Century Companies Inc2.08M8.98%13FAug 12, 2026
BlackRock, Inc.1.94M8.36%13FAug 7, 2026
Callodine Capital Management, LP1.74M7.50%13FAug 14, 2026
Vanguard Portfolio Management LLC1.51M6.52%13FAug 13, 2026

Insider tradesForm 4

DateInsiderRoleSharesAvg price
May 20, 2026David M. Mauradirector, officer: Executive Chairman and CEO+2,500$72.85
View details

Peers

CompareAfter-hours close

CompanyPriceChange
Spectrum Brands$89.07+0.51%$2.06B26.517.20.7+7.7%
Central Garden & Pet Common Stock$43.59−0.38%$2.74B16.314.70.9−8.2%
Scotts Miracle-Gro$60.43−0.03%$3.52B52.513.31.0−1.3%
Newell Brands$6.20+0.32%$2.62B9.60.4+3.1%
SharkNinja$193.63+1.29%$27.06B39.027.33.9+22.2%
Helen of Troy$28.620.00%$666.6M7.80.4+8.2%
Church & Dwight$101.26+0.03%$23.99B32.725.93.9+1.6%
Median35.814.01.0+2.3%