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$18.75B
30.50
77,000
6.38%
Price Chart
Risk-Adjusted Performance
Amcor PLC (AMCR) Price Performance
Amcor PLC (AMCR) trades on United States in USD. The company is classified in the Consumer Cyclical sector under the Packaging & Containers industry. The stock currently trades at $39.13, up 2.22% from the previous close.
Over the past year, AMCR has traded between a low of $38.28 and a high of $50.58. The stock has lost 14.8% over this period. It is currently 22.6% below its 52-week high.
Amcor PLC has a market capitalization of $18.75B, with a price-to-earnings ratio of 30.50 and a dividend yield of 6.38%.
About Amcor PLC
Amcor plc, together with its subsidiaries, engages in the production and sale of packaging products in Europe, North America, Latin America, and the Asia Pacific. The company operates in two segments, Global Flexible Packaging Solutions and Global Rigid Packaging Solutions. The Global Flexible Packaging Solutions segment develops and supplies flexible packaging products, including polymer resin, aluminum, and fiber based flexible packaging products to the food and beverage, medical and pharmaceutical, fresh produce, snack food, personal care, and other industries. The Global Rigid Packaging Solutions segment manufactures rigid packaging containers, closures, dispensing and pharma devices, and related products for the food and beverage applications. The company sells its products through its direct sales force. The company was incorporated in 1926 and is headquartered in Zurich, Switzerland.
Company Info
- Sector
- Consumer Cyclical
- Industry
- Packaging & Containers
- Exchange
- United States
- Currency
- USD
- Country
- United States
Financial Metrics
- Revenue (TTM)
- $10.41B
- EBITDA
- $2.84B
- Profit Margin
- 3.04%
- EPS (TTM)
- 1.33
- Book Value
- 25.18
Technical Indicators
- 52 Week High
- $50.67
- 52 Week Low
- $37.77
- 50 Day MA
- $45.32
- 200 Day MA
- $43.91
- Beta
- 0.64
Valuation
- Trailing P/E
- 30.50
- Forward P/E
- 9.86
- Price/Sales
- 0.96
- Price/Book
- 1.61
- Enterprise Value
- $31.02B