Dole (DOLE) Stock Analysis
NYSEConsumer DefensiveAgricultural Farm Products
What Dole does
Dole plc is an international agricultural company specializing in the global supply chain for fresh fruits and vegetables, handling everything from sourcing and processing to marketing and distribution. The company's operations are segmented into four main areas: Fresh Fruit, Fresh Vegetables, and two Diversified Fresh Produce divisions, one serving EMEA (Europe, Middle East, and Africa) and the other covering the Americas and the Rest of the World. Its extensive product portfolio features a wide variety of fresh produce, including popular items like bananas, pineapples, grapes, berries, avocados, and various deciduous and organic fruits. Beyond whole fruits, Dole also offers value-added products such as pre-packaged salads and convenient meal kits, alongside an assortment of fresh-packed vegetables like iceberg, romaine, and leaf lettuces, and celery. Additionally, the company markets health foods and other consumer goods. Dole supplies its diverse range of products to retailers, wholesale distributors, and the foodservice sector worldwide. The company's headquarters are situated in Dublin, Ireland.
Key metrics
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PortView Portfolio Insights
PortView analyzes how DOLE fits your actual portfolio — position weight, portfolio concentration, unrealized gain/loss, contribution to return, sector exposure, indirect exposure through the ETFs you hold, and correlation with your other holdings. Connect a portfolio to see your personalized figures; PortView never shows another user's private holdings.
Analyze DOLE in PortView →Frequently asked questions
- What is the ticker symbol for Dole?
- Dole trades under the ticker DOLE on NYSE.
- Which exchange is DOLE listed on?
- DOLE is listed on NYSE.
- What sector does Dole operate in?
- Dole is classified in the Consumer Defensive sector (Agricultural Farm Products industry).
- How can PortView help analyze DOLE in a portfolio?
- PortView shows DOLE's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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