Amcor plc (AMCR)
$47.91-1.40%Close
BUYBULL · day 10
Key stats
Short interest · FINRA settlement 2026-08-14
- Market cap
- $22.2B
- Avg volume
- 3.9M
- Beta
- 0.59
- Div yield
- 4.68%
- P/E (TTM)
- 19.83
- Short % float
- 4.65%
- Days to cover
- 5.6
- SI change
- -13.6%
- 1W
- +5.23%
- 1M
- +7.57%
- 3M
- +24.83%
- YTD
- +13.94%
- vs SPY 1W
- +6.42%
- vs SPY 1M
- +4.25%
- vs SPY 3M
- +22.44%
- vs SPY YTD
- +2.18%
Sector peers
Same-sector names ranked by LOPJLB quality proximity · Consumer Cyclical
- WSMBUYWilliams-Sonoma, Inc.BULLQ 19$237.77+0.08%
- HZOBUYMarineMax, Inc.BULLQ 13$52.13-0.13%
- STLASELLStellantis N.V.RECOVERYQ 20$5.22-3.51%
- FIGSBUYFIGS, Inc.RECOVERYQ -4$15.21+3.61%
- LGIHSELLLGI Homes, Inc.RECOVERYQ 14$58.25+0.15%
- SKYBUYChampion Homes, Inc.BULLQ 12$91.53+1.42%
- LADBUYLithia Motors, Inc.RECOVERYQ 24$368.55-0.59%
- ONEWSELLOneWater Marine Inc.BEARQ 2$12.02+0.92%
- LITBSELLLightInTheBox Holding Co., Ltd.BEARQ -3$2.92-4.26%
- SHAKBUYShake Shack Inc.RECOVERYQ 9$75.44-0.50%
- SHOEBUYRECOVERYQ 15$15.62+0.97%
- BRIABUYBrillia IncRECOVERYQ -15$1.40+0.00%
Industry peers
FMP comparable companies · ranked by market cap
- CASYSELLCasey's General Stores, Inc.$30.5BBEARQ 25$824.92+2.21%
- SWBUYSmurfit Westrock plc$25.9BRECOVERYQ 21$49.43-1.42%
- IHGBUYInterContinental Hotels Group PLC$24.2BRECOVERYQ 15$163.75+1.64%
- RLSELLRalph Lauren Corporation$22.1BBEARQ 14$362.60-0.48%
- PKGBUYPackaging Corporation of America$22.0BBULLQ 20$246.54-1.55%
- IPSELLInternational Paper Company$21.7BRECOVERYQ 5$40.99-1.08%
- GPCBUYGenuine Parts Company$19.0BBULLQ 10$137.95+1.29%
- BBYBUYBest Buy Co., Inc.$18.0BBULLQ 13$85.29+1.85%
- BALLSELLBall Corporation$17.1BBEARQ 21$64.08+1.31%
- DKSSELLDICK'S Sporting Goods, Inc.$10.6BCRISISQ 23$124.31-2.13%
Prediction markets
Kalshi · Polymarket · … linked
Loading markets…
FUNDAMENTALS
[SCORES & PROFILE]
- FUND
- 38
- VALUE
- 36
- GROWTH
- 44
- GARP
- 14
- TYPE
- Dividend Compounder
Composite of Value · Growth · GARP
ROIC5.7%
REV YoY-
ROE2.4%
EPS YoY-
ROA3.0%
GROSS20
OP8
NET5
[VALUATION]
P/E TTM19.83
P/E FWD11.97
SECTOR PE66.84
INDUSTRY PE20.41
P/B1.86
P/FCF-
EV/EBITDA10.62
EV/EBIT-
PEG5.03
FCF YIELD-
RISK
INT COV-
D/E127.91
ALTMAN Z-
CURR RATIO1.25
ND/EBITDA-
BETA0.59
PAYOUT RATIO > 100% (111.3%)



















