CAG vs SPY: Conagra Brands, Inc. vs SPDR S&P 500 ETF Trust Historical Returns & Investment Comparison

This CAG vs SPY comparison analyzes the historical stock performance of Conagra Brands, Inc. and SPDR S&P 500 ETF Trust side-by-side. Using real, adjusted market data, this tool shows how identical investments in both stocks would have performed over time—highlighting differences in returns, volatility, and consistency across market cycles.

Use the interactive calculator below to adjust the investment amount and time period, visualizing how Conagra Brands, Inc. and SPDR S&P 500 ETF Trust have historically performed against each other.

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Performance Summary

$10,000 invested from 1986 to 2025 (40 years)

Head-to-Head Record

17
CAG Wins
0
Ties
16
SPY Wins

Over the 33-year comparison period, Conagra Brands, Inc. outperformed SPDR S&P 500 ETF Trust in 17 years, while SPDR S&P 500 ETF Trust outperformed Conagra Brands, Inc. in 16 years.

CAG - Conagra Brands, Inc.

Average Annual Return:+9.94%
Best Year:+65.74% (2019)
Worst Year:-41.75% (2018)
Win Rate:62.5% (25/40 years)
Total Value:$148,591.03
Total Gain:+$138,591.03 (+1385.91%)

SPY - SPDR S&P 500 ETF Trust

Average Annual Return:+11.71%
Best Year:+37.39% (1995)
Worst Year:-36.24% (2008)
Win Rate:81.8% (27/33 years)
Total Value:$250,597.02
Total Gain:+$240,597.02 (+2405.97%)

Overall Winner: SPY with an average annual return of 11.71% (vs 9.94% for CAG)

Understanding CAG vs SPY Performance

When comparing Conagra Brands, Inc. and SPDR S&P 500 ETF Trust, investors should consider multiple factors beyond just total returns. Volatility, consistency of growth, dividend payments, and sector-specific risks all play crucial roles in determining which stock might be better suited for your investment strategy and risk tolerance.

Historical performance data shows how each stock responded to market downturns, economic expansions, and company-specific events. While past performance doesn't guarantee future results, understanding these patterns can help inform investment decisions and portfolio allocation strategies.

Cumulative Growth Comparison

A $10,000 investment in Conagra Brands, Inc. grew to $148,591, compared to $250,597 for SPDR S&P 500 ETF Trust over the same period.

Year-by-Year Comparison

YearCAG ReturnCAG CumulativeSPY ReturnSPY CumulativeDifferenceWinner
1986 (Start)-$10,000.00-$10,000.00-Initial Investment
1987+39.10%$13,910.37---Tie
1988-12.99%$12,103.00---Tie
1989+10.06%$13,320.43---Tie
1990+49.20%$19,874.06---Tie
1991+31.44%$26,121.97---Tie
1992+49.19%$38,971.41---Tie
1993-4.55%$37,198.53---Tie
1994-18.40%$30,354.35+8.71%$10,870.91-27.11% (SPY)SPY
1995+22.11%$37,066.49+0.67%$10,943.47+21.45% (CAG)CAG
1996+38.07%$51,179.37+37.39%$15,035.16+0.69% (CAG)CAG
1997+21.47%$62,166.08+21.20%$18,223.19+0.26% (CAG)CAG
1998+37.05%$85,196.41+33.14%$24,261.81+3.91% (CAG)CAG
1999-2.95%$82,686.93+28.03%$31,063.11-30.98% (SPY)SPY
2000-26.99%$60,371.65+20.66%$37,482.18-47.65% (SPY)SPY
2001+18.38%$71,469.12-8.85%$34,165.23+27.23% (CAG)CAG
2002-3.23%$69,159.37-10.13%$30,703.75+6.90% (CAG)CAG
2003+9.02%$75,398.76-22.42%$23,820.14+31.44% (CAG)CAG
2004+7.50%$81,050.61+24.18%$29,580.86-16.69% (SPY)SPY
2005+17.80%$95,476.62+10.75%$32,760.13+7.05% (CAG)CAG
2006-27.57%$69,156.88+5.32%$34,504.59-32.89% (SPY)SPY
2007+36.43%$94,352.47+13.84%$39,281.03+22.59% (CAG)CAG
2008-9.28%$85,596.82+5.33%$41,375.53-14.61% (SPY)SPY
2009-26.46%$62,946.11-36.24%$26,382.38+9.77% (CAG)CAG
2010+42.84%$89,914.06+22.65%$32,359.23+20.19% (CAG)CAG
2011+1.23%$91,020.93+13.14%$36,610.39-11.91% (SPY)SPY
2012+21.31%$110,420.79+0.85%$36,922.44+20.46% (CAG)CAG
2013+16.47%$128,607.98+14.17%$42,154.69+2.30% (CAG)CAG
2014+15.34%$148,332.79+29.00%$54,380.19-13.66% (SPY)SPY
2015+11.49%$165,377.35+14.56%$62,298.86-3.07% (SPY)SPY
2016+20.74%$199,677.31+1.29%$63,101.60+19.45% (CAG)CAG
2017+25.14%$249,867.44+13.59%$71,674.43+11.55% (CAG)CAG
2018-3.06%$242,209.33+20.78%$86,569.38-23.85% (SPY)SPY
2019-41.75%$141,084.70-5.25%$82,026.91-36.50% (SPY)SPY
2020+65.74%$233,835.50+31.09%$107,527.02+34.65% (CAG)CAG
2021+10.67%$258,786.82+17.24%$126,059.55-6.56% (SPY)SPY
2022-1.81%$254,090.48+30.51%$164,514.60-32.32% (SPY)SPY
2023+17.83%$299,394.12-18.65%$133,838.54+36.48% (CAG)CAG
2024-23.08%$230,288.76+26.71%$169,585.78-49.79% (SPY)SPY
2025-1.53%$226,773.00+25.59%$212,981.61-27.12% (SPY)SPY
2026-34.48%$148,591.03+17.66%$250,597.02-52.14% (SPY)SPY

Annual returns include dividends and stock splits. Cumulative values show growth of $10,000 invested from the first year. Positive difference means CAG outperformed SPY that year.

Company Profiles

1

Conagra Brands, Inc.

CAG

Conagra Brands, Inc. is an American consumer packaged goods holding company. The company manufactures and sells products under various brand names that are available in supermarkets, restaurants, and food service establishments worldwide.

Key Innovations

  • Pioneered the concept of ready-to-eat frozen meals, making convenient food accessible to consumers.
  • Successfully transformed from a grain milling company to a diversified food and agricultural enterprise.

Business Segments

  • Grocery & Snacks
    Includes a wide variety of branded food products sold in retail stores, such as snacks, sweet treats, and meal solutions.
  • Refrigerated & Frozen
    Comprises branded refrigerated and frozen food products, including frozen meals, vegetables, and meat alternatives.
  • International
    Includes branded food products sold in retail and foodservice channels outside of the United States.
2

SPDR S&P 500 ETF Trust

SPY

SPY is the first exchange-traded fund (ETF) listed in the US. It is designed to track the S&P 500 Index, which measures the performance of the large-cap segment of the US equity market.

Key Innovations

  • First US-listed ETF

Business Segments

  • ETF
    Passive investment vehicle tracking the S&P 500.

How This Comparison Works

Our stock comparison tool uses adjusted closing prices to calculate year-by-year returns for both stocks. This ensures an apples-to-apples comparison that accounts for:

  • Dividends: All dividend payments are reinvested
  • Stock splits: Historical prices are adjusted for all splits
  • Head-to-head record: Shows which stock outperformed each year
  • Statistical analysis: Average returns, best/worst years, and win rates

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Important Disclaimer

This comparison tool is for educational and informational purposes only and does not constitute financial, investment, or trading advice. Past performance is not indicative of future results. Historical returns include dividends and stock splits but do not account for taxes, fees, inflation, or individual circumstances. Stock market investments carry risk, including the potential loss of principal. Always consult with a qualified financial advisor before making investment decisions. The data presented is based on historical market data and may contain inaccuracies or delays.