AMCR · NYSE · Packaging & Containers

Amcor (AMCR)

Makes flexible and rigid packaging, closures, and dispensing systems for consumer and healthcare products.

$42.75
vs last close+0.60 (+1.42%)
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Amcor plcAMCR
Materials

Develops flexible packaging, rigid containers, specialty cartons, closures, dispensing systems, and pharmaceutical devices for nutrition, health, beauty, and wellness brands worldwide. Revenue is led by flexible packaging, while the Berry combination broadened the portfolio and made integration of a larger manufacturing network a central operating task.

Develops and manufactures flexible packaging, rigid containers, specialty cartons, closures, dispensing systems, and pharmaceutical devices for nutrition, health, beauty, wellness, and other consumer markets. Global Flexible Packaging Solutions primarily supplies polymer-, aluminum-, and fiber-based formats. Global Rigid Packaging Solutions centers on containers, preforms, closures, dispensers, and pharmaceutical devices, and also reports Latin American flexible operations.

Serves customers across North America, Europe, Latin America, Asia-Pacific, the Middle East, and Africa through a manufacturing footprint spanning more than 40 countries. Material science, package design, and high-volume manufacturing span polymer resins, paper, aluminum, recycled, and bio-based materials. The Berry combination expanded both segments and added in-house recycling operations.

Demand tracks customers' packaged-goods volumes. Results depend on raw-material and energy availability and pricing, customer retention, product quality, and compliance with packaging, environmental, health, and safety rules across many jurisdictions.

Company facts

CEOPeter Konieczny
ListedJun 11, 2019
ExchangeNYSE
HeadquartersZurich, Switzerland
CountrySwitzerland
Employees77,000
CIK0001748790
ISINJE00BV7DQ550

Market cap$19.49B
EPS (ttm)
P/E (ttm)
ROE
P/B1.65
P/S
Dividend yieldDiv yield6.17%
Beta0.82vs XLB 1.20

Price target$47.00+11.5%Average of 14 analysts
ConsensusBuy8 of 14 analysts
Ratings

Target rangeAs of Sep 21, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Aug 18, 2026Truist FinancialTarget
Target: $50
Target: $51
Aug 17, 2026JP MorganDowngrade
Rating: Overweight
Rating: Neutral
Aug 11, 2026UBSInitiate
Rating: Target:
Rating: BuyTarget: $56
Jul 22, 2026JefferiesDowngrade
Rating: Buy
Rating: Hold
Jul 21, 2026JefferiesDowngrade
Rating: BuyTarget:
Rating: HoldTarget: $44.92

Next report
Nov 4, 26
in 43 days
EPS estimate
$0.96
Revenue estimate
$5.91B
Fiscal quarter
Q1 FY27

EPSReportedEstimate

Feb '25Apr '25Aug '25Nov '25Feb '26May '26Aug '26Nov '26
Reported$0.80$0.90$1.00$0.95$0.86$0.96$1.23Pending
Estimate$0.16$0.90$1.05$0.93$0.83$0.96$1.19$0.96
Surprise+400.0%0.0%−4.8%+2.7%+3.6%+0.3%+3.4%

RevenueReportedEstimate

Feb '25Apr '25Aug '25Nov '25Feb '26May '26Aug '26Nov '26
Reported$3.24B$3.33B$5.08B$5.75B$5.45B$5.91B$6.40BPending
Estimate$3.30B$3.47B$5.19B$5.75B$5.51B$5.71B$6.05B$5.91B
Surprise−1.8%−4.0%−2.0%−0.1%−1.1%+3.5%+5.7%
Estimate$0.96
ReportedDue Nov 4, 2026
Estimate$5.91B
ReportedDue Nov 4, 2026
View details

Debt to equity127.90%
Current ratio125.40%

ProfitabilityRevenueNet incomeNet margin

Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26
Revenue$3.35B$3.24B$3.33B$5.08B$5.75B$5.45B$5.91B$6.40B
Net income$191.0M$163.0M$196.0M−$39.0M$262.0M$177.0M$278.0M$389.0M
Net margin5.7%5.0%5.9%0.0%4.6%3.2%4.7%6.1%

GrowthOperating income

Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26
Operating income$312.0M$297.0M$313.0M$87.0M$461.0M$417.0M$524.0M$497.0M
YoY growth+15.6%+22.7%+2.0%−78.0%+47.8%+40.4%+67.4%+471.3%

Balance sheet, Jun 30, 2026Cash & short-term investments $1.12B · Total debt $15.08B · Total assets $37.10B · Shareholders' equity $11.79B

Revenue
$6.40B
Operating income
$497.0M
Net income
$389.0M
View details

Dividend yield
6.17%
Next ex-date
Dec 4, 26
estimated · in 73 days
Annual dividend
$2.60
per share
Schedule
Quarterly
4 payments a year

HistoryDividendAnnual yield

Nov '24Feb '25May '25Sep '25Nov '25Feb '26May '26Sep '26
Dividend$0.6375$0.6375$0.6375$0.6375$0.65$0.65$0.65$0.65
Annual yield4.80%5.00%5.62%6.14%6.02%5.27%6.59%5.76%
Ex-dateNov 21Feb 26May 22Sep 5Nov 28Feb 25May 28Sep 4
Payment dateDec 11Mar 18Jun 10Sep 25Dec 17Mar 17Jun 17Sep 24
View details

Institutions78.64%363.58M shares
715 holders · as of Jun 30, 2026
Insiders0.23%1.05M shares
23 holders · as of Sep 17, 2026
Strategic holders5.45%25.18M shares
1 holder · as of Apr 27, 2026
Other15.68%72.53M shares
remainder

462.35M company shares as of Sep 22, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
BlackRock, Inc.Institution
6.98%32.26Mas of Jun 30, 2026
State Street CorpInstitution
6.83%31.59Mas of Jun 30, 2026
M&G PLCInstitution
6.00%27.73Mas of Jun 30, 2026
Invesco Ltd.Institution
5.54%25.60Mas of Jun 30, 2026
M&G Plc on behalf of certain subsidiariesStrategic
5.45%25.18Mfiled Apr 27, 2026

Insider tradesForm 4

DateInsiderRoleSharesAvg price
Dec 11, 2025Stephen R. Schergerofficer: Executive VP, Finance & CFO+121,065$8.32
Dec 3, 2025Susan K. Carterdirector−6,058$8.44
Dec 3, 2025Jill A. Rahmandirector−4,148$8.44
Nov 24, 2025Jill A. Rahmandirector−6,596$8.48
Nov 12, 2025Nicholas T. Longdirector+10,000$8.54
View details

  • Silgan

    Rigid containers, closures, and metal packaging for consumer goods

  • AptarGroup

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  • Sonoco Products

    Consumer cans and rigid paper packaging in food and household markets

  • Crown

    Beverage and food cans pressure rigid plastic containers and caps

  • Smurfit Westrock

    Fiber-based packaging scale against cartons and paper alternatives

Compare

CompanyPriceChange
Amcor$42.75+1.42%$19.49B9.8+25.9%
Silgan$37.61+1.40%$3.92B14.69.60.6+6.8%
AptarGroup$124.20+0.65%$7.88B22.320.92.0+6.3%
Sonoco Products$50.50+2.54%$4.87B7.68.40.7−1.3%
Crown$109.60+0.80%$11.83B15.612.90.9+16.5%
Smurfit Westrock$46.09+1.50%$23.82B48.315.70.8+1.7%
Median15.612.90.8+6.3%