Which Is a Better Investment, Kirin Holdings Co Ltd (ADR) or Constellation Brands, Inc. Stock?

By Cynthia McLaughlin
September 03, 2026
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Sifting through countless of stocks in the Beverages industry can be tedious, and sometimes two stocks are just too similar to judge which is the better investment. If you’re on the fence about investing in Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company or Limited because you’re not sure how they measure up, it’s important to compare them on a few factors before making your decision.

Read on to learn how Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited compare based on key financial metrics to determine which better meets your investment needs.

About Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited

Constellation Brands, Inc., together with its subsidiaries, produces, imports, markets, and sells beer, wine, and spirits in the United States, Canada, Mexico, New Zealand, and Italy. It offers beer under the Corona Extra, Corona Familiar, Corona Sunbrew, Corona Light, Corona Non-Alcoholic, Corona Premier, Modelo Especial, Modelo Chelada, Modelo Negra, Modelo Spiked Aguas Frescas, Modelo Oro, Modelo Noche Especial, Victoria, Vicky Chamoy, and Pacifico brand names. The company also offers wine under the Sea Smoke, Schrader Cellars, Kim Crawford, Mount Veeder, Ruffino, My Favorite Neighbor, Robert Mondavi Winery, and The Prisoner Wine Company brand names; and spirits under the Casa Noble, High West, Mi CAMPO, and Nelson’s Green Brier brand names. It provides its products to wholesale distributors, retailers, and state alcohol beverage control agencies. Constellation Brands, Inc. was founded in 1945 and is headquartered in Rochester, New York.

Kirin Holdings Company, Limited engages in food and beverages, alcoholic beverages, pharmaceuticals, and health science businesses. The company’s products include beer, wine, soft drinks, dairy products, margarine, jams, and honey. It engages in the management and operation of a chain of Kirin City beer pubs. The company also produces and sells pharmaceutical products. In addition, it manufactures and sells amino acids and nucleic acids for pharmaceutical and industrial use, as well as bulk pharmaceuticals, machines, cosmetics, and health foods. Further, the company provides logistics, accounting, human resources, and real estate services. Additionally, it is involved in the development of internal information systems and the manufacturing and sale of nutritional supplements. The company was formerly known as Kirin Brewery Company, Limited and changed its name to Kirin Holdings Company, Limited in July 2007. Kirin Holdings Company, Limited was founded in 1885 and is headquartered in Nakano, Japan.

Kirin Holdings Company, Limited engages in food and beverages, alcoholic beverages, pharmaceuticals, and health science businesses. The company’s products include beer, wine, soft drinks, dairy products, margarine, jams, and honey. It engages in the management and operation of a chain of Kirin City beer pubs. The company also produces and sells pharmaceutical products. In addition, it manufactures and sells amino acids and nucleic acids for pharmaceutical and industrial use, as well as bulk pharmaceuticals, machines, cosmetics, and health foods. Further, the company provides logistics, accounting, human resources, and real estate services. Additionally, it is involved in the development of internal information systems and the manufacturing and sale of nutritional supplements. The company was formerly known as Kirin Brewery Company, Limited and changed its name to Kirin Holdings Company, Limited in July 2007. Kirin Holdings Company, Limited was founded in 1885 and is headquartered in Nakano, Japan.

Latest Beverages and Constellation Brands, Inc., Kirin Holdings Company, Limited Stock News

As of September 2, 2026, Constellation Brands, Inc. had a $22.1 billion market capitalization, compared to the Beverages median of $8.0 million. Constellation Brands, Inc.’s stock is down 6.9% in 2026, down 2.2% in the previous five trading days and down 14.49% in the past year.

Currently, Constellation Brands, Inc.’s price-earnings ratio is 12.3. Constellation Brands, Inc.’s trailing 12-month revenue is $9.1 billion with a 20.1% net profit margin. Year-over-year quarterly sales growth most recently was -3.3%. Analysts expect adjusted earnings to reach $11.800 per share for the current fiscal year. Constellation Brands, Inc. currently has a 3.2% dividend yield.

As of September 2, 2026, Kirin Holdings Company, Limited had a $14.9 billion market cap, putting it in the 83rd percentile of all stocks. Kirin Holdings Company, Limited’s stock is up 25.4% in 2026, down 3.8% in the previous five trading days and up 22.67% in the past year.

Currently, Kirin Holdings Company, Limited does not have a price-earnings ratio. Kirin Holdings Company, Limited’s trailing 12-month revenue is $15.5 billion with a 7.8% net profit margin. As of September 2, 2026, Kirin Holdings Company, Limited has not reported significant year-over-year quarterly sales. There are no analysts providing consensus earnings estimates for the current fiscal year. Kirin Holdings Company, Limited does not currently pay a dividend.

How We Compare Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited Stock Grades

Stock evaluation requires access to huge amounts of data and the knowledge and time to sift through it all, make sense of financial ratios, read income statements and analyze recent stock movements. AAII created A+ Investor, a robust data suite that condenses data research in an actionable and customizable way suitable for investors of all knowledge levels, to help investors streamline and work through such data.

AAII’s proprietary stock grades come with A+ Investor. These offer intuitive A‐F grades for each of five key investing factors: value, growth, momentum, earnings estimate revisions and quality. Here, we’ll take a closer look at Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited’s stock grades to see how they measure up against one another.

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Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited Stock Value Grades

Company Ticker Value
Constellation Brands, Inc. STZ B
Kirin Holdings Company, Limited KNBWY na
Kirin Holdings Company, Limited KNBWY na

Successful stock investing involves buying low and selling high, so stock valuation is an important consideration for stock selection.

Buying stocks that are going to go up typically means buying stocks that are undervalued in the first place, although momentum investors may argue that point.

AAII’s A+ Investor Value Grade derives from a stock’s value score. The Value Score is the percentile rank of the average of the percentile ranks of the price-to-sales ratio, price-earnings ratio, enterprise-value-to-EBITDA (EV/EBITDA) ratio, shareholder yield, price-to-book-value ratio and price-to-free-cash-flow ratio. The score is variable, meaning it can consider all six ratios or, should any of the six ratios not be valid, the remaining ratios that are valid. To be assigned a Value Score, stocks must have a valid (non-null) ratio and corresponding ranking for at least two of the six valuation ratios.

Stocks with a Value Score from 81 to 100 are considered deep value, those with a score between 61 and 80 are a good value and so on.

Constellation Brands, Inc. has a Value Score of 61, which is Value. Kirin Holdings Company, Limited does not have a meaningful Value Score. Kirin Holdings Company, Limited does not have a meaningful Value Score.

The Value Stock Winner: Undetermined

If you are strictly a value investor, you may want to add Constellation Brands, Inc. to your watch list. However, because only one of the companies in this comparison has a valid Value Grade, we cannot name it a clear winner. Evaluation of the other grades for both companies is necessary in order to understand which stock is the better investment based on AAII’s proprietary scores and analysis.

Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited’s Quality Grades

Company Ticker Quality
Constellation Brands, Inc. STZ A
Kirin Holdings Company, Limited KNBWY B
Kirin Holdings Company, Limited KNBWY B

Like the Value Grade, AAII’s A+ Investor Quality Grade comes from the percentile rank of key metrics. Specifically, the Quality Score is the percentile rank of the average of the percentile ranks of return on assets (ROA), return on invested capital (ROIC), gross profit relative to assets, buyback yield, change in total liabilities to assets, accruals, Z double prime bankruptcy risk (Z) score and the F-Score.

The score is variable, meaning it can consider all eight measures or, should any of the eight measures not be valid, the remaining measures that are valid. To be assigned a Quality Score, stocks must have a valid (non-null) measure and corresponding ranking for at least four of the eight quality measures.

The Quality Score is used to assess the underlying “quality” of a particular stock. A higher-quality stock possesses traits associated with upside potential and reduced downside risk. Backtesting of the Quality Grade shows that stocks with higher grades, on average, outperformed stocks with lower grades over the period of 1998 through 2019.

Stocks receive better grades (higher scores) for having higher scores for the quality subcomponents and worse grades (lower scores) for lower scores for the subcomponents.

Constellation Brands, Inc. has a Quality Score of 92, which is Very Strong. Kirin Holdings Company, Limited has a Quality Score of 80, which is Strong. Kirin Holdings Company, Limited has a Quality Score of 80, which is Strong.

The Quality Grade Winner: Constellation Brands, Inc.

As you can clearly see from the Quality Grade breakdown above, Constellation Brands, Inc. has a better overall quality grade than Kirin Holdings Company, Limited. For investors who are looking for companies with higher quality than others in the same industry, Constellation Brands, Inc. could be a good stock to add to their portfolios. However, it’s important for investors to analyze multiple factors based on a wide range of metrics before deciding whether to buy.

Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited’s Momentum Grades

Company Ticker Momentum
Constellation Brands, Inc. STZ D
Kirin Holdings Company, Limited KNBWY B
Kirin Holdings Company, Limited KNBWY B

Momentum grades help to uncover stocks experiencing anomalously high rates of return; research finds that stocks with high relative levels of momentum tend to outperform, whereas those with low levels of momentum tend to continue underperforming. Momentum is based on the price change of a stock over a specified period relative to all other stocks.

Typically, AAII looks at the weighted relative strength over the trailing four quarters. The weighted four-quarter relative strength rank is the relative price change for each of the past four quarters. The most recent quarterly price change is given a weight of 40% and each of the three previous quarters are given a weighting of 20%.

Constellation Brands, Inc. has a Momentum Score of 29, which is Weak. Kirin Holdings Company, Limited has a Momentum Score of 66, which is Strong. Kirin Holdings Company, Limited has a Momentum Score of 66, which is Strong.

The Momentum Grade Winner: Kirin Holdings Company, Limited

As you can clearly see from the Momentum Grade breakdown above, Kirin Holdings Company, Limited is considered to have stronger momentum compared to Constellation Brands, Inc.. For those specifically looking for companies that have stronger momentum compared to other companies in the same industry, Kirin Holdings Company, Limited could be a good stock to invest in. However, it’s important for investors to analyze multiple factors based on a wide range of metrics before deciding whether to buy.

Don’t Forget Your Free Special Report on How A+ Grades Can Help You Make Investment Decisions

Other Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited Grades

In addition to Value, Momentum and Quality, A+ Investor also provides grades for Growth and Estimate Revisions.

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Earnings estimate revisions scores take into account the magnitude of a company’s earnings surprise in its last two reported fiscal quarters. Often, surprises beget further surprises‐or at least continued sales growth (the exact opposite is generally true, too).

Growth investing builds on the idea that stocks of companies exhibiting strong, consistent and prolonged growth outperform those of slower-growth companies. AAII measures growth through consistency of annual sales growth, five-year sales growth rankings adjusted for extreme levels, and consistency of positive annual cash from operations.

These 2 key factors, when combined with the above, provide a holistic view into a particular stock. Further, by joining A+ Investor you can see whether Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited pass any of our 60+ stock screens that have outperformed the market since their creation.

So, Which Is the Better Investment, Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company or Limited Stock?

Overall, Constellation Brands, Inc. stock has a Value Score of 61, Momentum Score of 29 and Quality Score of 92.

Kirin Holdings Company, Limited stock has a Value Score of , Momentum Score of 66 and Quality Score of 80.

Kirin Holdings Company, Limited stock has a Value Score of , Momentum Score of 66 and Quality Score of 80.

Comparing Constellation Brands, Inc., Kirin Holdings Company, Limited, Kirin Holdings Company and Limited’s grades, scores and metrics can act as a solid basis to determine whether they may be a good investment or not. You’ll also want to look at your portfolio’s asset allocation as well as your risk tolerance and financial goals to see if either of these stocks would make a good fit for you. AAII can help you figure out which investments align with your individual needs and preferences.

Investors are encouraged to do their own due diligence and research. In this way, individuals can effectively become managers of their own assets‐without having to rely on others for financial independence. You can count on AAII for timeless articles on financial planning and stock-picking, unbiased research and actionable analysis.

A+ Investor adds to our qualitative teaching with a powerful data suite to help you whittle down investment choices to find stocks, exchange-traded funds (ETFs) or mutual funds that meet your needs.

Learn More About A+ Investor

AAII Disclaimer

We make no representations or warranties that any investor will, or is likely to, achieve profits similar to those shown, because past, hypothetical or simulated performance is not necessarily indicative of future results. Before making an investment decision, you should consider your circumstances and whether the information on our content is applicable to your situation. This information was prepared in good faith, and we accept no liability for any errors or omissions. The full disclaimer can be read here.



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