Amcor PLC AMCR

42.51 0.41 0.97% as of 25 Sep
Market cap
$19.4B
P/E
17.9×
Indexes indicate stock being part of an index,
Growth Flags show if company had growth for consecutive years,
Insider Buys alert about insiders buying in the last 12 month

Insider Decisions

Total buys 2.76
Total sells 0.14
in millions of $
Nov 25 Feb 26 May 26 Aug 26
Buy — 4 1 — — — — — — — — —
Sell — 1 2 — — — — — — — — —
Insider Ownership 0.46%

Capital & Financial Ratios

Market Cap 19,400.00
Revenue 23,506.00
Net Income 439.00
Free Cash Flow 1,249.00
Net Debt 12,762.00
Current Ratio 1.25
Debt/Equity 1.18
P/E ratio 17.94
P/S ratio 0.84
P/B ratio 1.67
Past 5Y EPS Growth 6.70%
This Y EPS Growth 11.22%
Next Y EPS Growth 8.91%
Next 5Y EPS Growth 9.06%
in millions of $

Dividends

Payout Ratio 0.69
Annual Dividend Rate 0.49
Annual Dividend Yield 5.45%
total individual payouts
2029 Powerpack
2028 Powerpack
2027 Powerpack
2026 2.53
0.65
0.65
0.65
2025 0.51
0.64
0.64
0.64
0.65
2024 2.51
0.63
0.63
0.63
0.64
2023 2.46
0.61
0.61
0.61
0.63
2022 2.41
0.60
0.60
0.60
0.61
2021 2.36
0.59
0.59
0.59
0.60
2020 2.31
0.58
0.58
0.58
0.59
2019 1.29
0.12
0.60
0.58
predictions in italic, special payouts not included in total or ratios

Assets vs Liabilities

2023 2024 2025 2026
Cash 689 588 827 1,115
Receivables 1,875 1,846 3,426 3,639
Inventory 2,213 2,031 3,471 3,672
Other — — — —
5,308 4,965 8,434 9,326
2023 2024 2025 2026
Payables 2,690 2,580 3,490 4,021
ST’ Debt 13 12 141 15
Other 1,297 1,186 2,621 2,570
4,476 4,261 6,987 7,435
in millions of $

Compound Annual Growth

10y 5y 3y
Sales 19.24% 12.82% 16.95%
Cash Flow 18.96% 8.04% 19.48%
Earnings 27.96% 3.33% 1.81%
Book Value 25.67% 19.61% 42.36%

Revenue

Sep Dec Mar Jun Year
’26 — — — — —
’26 5,745 5,449 5,914 6,398 23,506
’25 3,353 3,241 3,333 5,082 15,009
’24 3,443 3,251 3,411 3,535 13,640
’23 3,712 3,642 3,667 3,673 14,694
’22 3,420 3,507 3,708 3,909 14,544
’21 3,097 3,103 3,207 3,454 12,861
in millions of $ · fiscal quarters ending in the months shown

Operating Cash Flow

Sep Dec Mar Jun Year
’26 — — — — —
’26 (133) 503 556 1,595 2,151
’25 (269) 428 276 1,114 1,390
’24 (135) 363 378 943 1,321
’23 (260) 405 329 932 1,261
’22 (112) 435 589 937 1,526
’21 (110) 552 617 844 1,461
in millions of $ · fiscal quarters ending in the months shown

Free Cash Flow

Sep Dec Mar Jun Year
’26 — — — — —
’26 (343) 290 (93) 1,395 1,302
’25 (413) 336 (75) 903 828
’24 (255) 249 32 836 868
’23 (408) 311 (41) 806 765
’22 (257) 331 223 794 1,017
’21 (221) 449 288 731 1,019
in millions of $ · fiscal quarters ending in the months shown

EPS

Sep Dec Mar Jun Year
’26 — — — — —
’26 0.55 0.38 0.60 0.83 2.38
’25 0.65 0.55 0.70 (0.10) 1.63
’24 0.55 0.45 0.65 0.90 2.57
’23 0.80 1.55 0.60 0.60 3.58
’22 0.65 0.75 0.90 0.35 2.69
’21 0.65 0.70 0.85 0.80 3.06
fiscal quarters ending in the months shown

Target Price Range

Analyst price targets

Recommendation Rating

2.1
1Buy 2 3Hold 4 5Sell
2017 2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 2029
52.85 43.75 45.90 29.00 51.65 52.10 42.25 43.90 38.35 36.25

Analyst estimates 2027–2029

Powerpack
Low Price
64.00 59.00 58.85 62.00 64.60 68.05 61.85 57.40 52.25 50.94
High Price
16,582 15,694 50,000 47,000 46,000 44,000 41,000 41,000 77,000 75,000
Employees
0 0 0 0 0 0 0 0 0 0
Revenue/Emp
4,046 4,090 9,458 12,468 12,861 14,544 14,694 13,640 15,009 23,506
Revenue
19.43% 19.69% 19.02% 20.34% 21.24% 19.39% 18.54% 19.88% 18.88% 19.95%
Gross Margin
53 286 604 825 1,193 1,115 1,251 907 650 1,282
EBT
1.30% 6.99% 6.39% 6.62% 9.28% 7.67% 8.51% 6.65% 4.33% 5.45%
EBT Margin
94 226 437 616 951 815 1,058 740 518 1,106
Net Income
366 168 452 660 584 627 590 605 758 1,527
Depreciation
43.35 44.06 40.01 38.96 41.46 48.19 50.05 47.39 47.21 50.75
Revenue/Sh
1.01 2.43 1.85 1.93 3.07 2.70 3.60 2.57 1.63 2.39
Earnings/Sh
4.06 4.97 3.28 4.33 4.71 5.06 4.30 4.59 4.37 4.64
Cash Flow/Sh
(1.86) (1.51) (1.04) (1.21) (1.42) (1.69) (1.69) (1.57) (1.77) (1.83)
Capex/Sh
2.20 3.46 2.24 3.12 3.29 3.37 2.61 3.02 2.60 2.81
Free CF/Sh
12.87 13.10 24.00 14.65 15.54 13.72 13.93 13.74 36.93 25.48
Book Value/Sh
93 93 236 320 310 302 294 288 318 463
Shares
58.43 21.67 26.94 27.81 18.79 23.45 14.06 18.82 25.53 18.29
PE Ratio
1.36 1.62 1.43 1.31 1.38 1.29 1.00 1.01 0.97 0.85
PS Ratio
4.58 8.83 2.38 3.49 3.69 4.53 3.58 3.49 1.24 1.70
PB Ratio
1.73 1.82 1.93 1.74 1.80 1.67 1.40 1.45 1.85 1.40
EV/Sales
34.06 97.62 31.84 19.06 18.54 22.31 30.88 23.02 36.97 26.29
EV/FCF
379 462 776 1,384 1,461 1,526 1,261 1,321 1,390 2,151
Op' Cash Flow
(174) (140) (247) (387) (442) (509) (496) (453) (562) (849)
Capex
205 322 529 997 1,019 1,017 765 868 828 1,302
FCF
571 533 668 561 921 750 832 704 1,447 1,891
Working Cap'
1,547 1,350 5,314 6,039 6,191 6,354 6,666 6,615 13,982 13,877
Total Debt
1,476 1,274 4,713 5,296 5,341 5,579 5,977 6,027 13,155 12,762
Net Debt
1,201 1,216 5,675 4,687 4,821 4,141 4,090 3,953 11,740 11,801
Sh' Equity
5.08% 3.57% 4.15% 3.64% 5.58% 4.65% 6.09% 4.35% 1.91% 2.98%
ROA
2.85% 9.01% 4.77% 6.22% 8.12% 7.97% 9.36% 7.60% 2.53% 4.83%
ROIC
7.64% 23.62% 12.48% 11.81% 19.75% 17.96% 25.46% 18.15% 6.51% 9.40%
ROE
predictions in italic, sparklines do not include predictions

All 10 years →

Fiscal years to Jun 2026 · latest quarter Jun 2026

AMCR metrics, ten years each

Amcor PLC (AMCR) key facts

  • Amcor PLC (AMCR) is a Packaging & Containers company in the Consumer Cyclical sector, listed on the New York Stock Exchange.
  • Amcor PLC’s revenue for fiscal 2026 (year ended June 2026) was $23.5 billion, up 56.6% from fiscal 2025.
  • As of September 25, 2026, AMCR traded at $42.51, a market capitalization of $19.4 billion.
  • Amcor PLC pays an annual dividend of $0.49 per share, a yield of 5.45%, with a payout ratio of 69.2%.
  • Return on equity was 9.40% and debt-to-equity 1.18.

Source: company filings (standardised) and stockrow calculations.

Amcor PLC (AMCR) Latest News

News by impact score

Fine-tune

22 Sep

4

Amcor (AMCR) retraced after a rally, trading around $42.15 as its one‑month return slid about 13% and three‑month gains hovered around 4%. The stock’s momentum has cooled even as longer‑term holders have generally gained about 8% over a year. Simply Wall St flags Amcor as undervalued, with a fair value of $49.93 versus the current price, bolstering the Berry Global integration narrative. The deal is expected to generate roughly $650 million in synergies by fiscal 2028 (about $260 million in fiscal 2026), largely from cost cuts, procurement optimization, and operating efficiencies that could sustain EPS growth and margin expansion. Yet risks loom: weak volume trends and a portfolio review of roughly $2.5 billion in annual sales could undercut the synergy story if divestitures or restructurings disappoint. Investors face mixed signals: assess whether most upside remains or value has already emerged. Major synergy potential and undervaluation suggest meaningful upside to earnings and valuation, but execution risks and divestiture uncertainties temper certainty.

3

Amcor PLC (AMCR), a $19.4B global packaging company based in Zurich, posted stronger fiscal 2026 results aided by Berry acquisition synergy. Revenue reached $23.51B with adjusted EBITDA up 68% to $3.67B and adjusted diluted EPS up 12.9% to $4.02; free cash flow rose 40.7% to $1.30B. About $240M in synergy benefits were recognized from Berry integration and productivity initiatives. Despite earnings strength, the stock fell 17.3% from its 52-week high, and trades below its 50- and 200-day moving averages, signaling a recent downtrend. Year-to-date return is roughly 1.1%, with AMCR outperforming the XLY over the period. Analysts show a Moderate Buy with a mean target of $49.61, implying ~17.7% upside. Earnings and synergy-driven improvements boost fundamentals, but overall stock momentum remains mixed, tempering upside expectations.

18 Sep

3

Amcor and Dow form low-carbon packaging partnership. Partnership advances Amcor's sustainable packaging capabilities with potential effects on operations and positioning.

17 Sep

4

Amcor PLC targets $650 million in total cost savings through synergy realization by 2026. Major cost reduction targets of $650 million will significantly boost profitability and alter competitive positioning.

13 Aug

3

Amcor PLC posted a 40% rise in Q4 adjusted profit driven by Berry integration. Berry integration delivered 40% Q4 adjusted profit growth, indicating moderate ongoing operational benefits for Amcor.

12 Aug

4

Amcor Q4 earnings beat estimates driven by Berry Global acquisition. Berry Global acquisition represents major strategic expansion with direct earnings impact.

4

Amcor PLC posted strong fourth quarter and full-year results, reflecting solid revenue growth and operational performance across its packaging businesses. Strong quarterly and annual results indicate improved profitability that can lift share price and investor sentiment.

3 transcript

Amcor PLC held its Q4 2026 earnings call to report financial results and discuss company performance. Earnings call delivers financial updates and guidance that moderately shape near-term stock movement.

3

Amcor PLC posted strong EPS growth and exceeded synergy targets in its Q4 2026 earnings call amid ongoing market pressures. EPS beat and synergy outperformance point to operational gains that can lift near-term results but stop short of major strategic shifts.

3 transcript

Amcor plc reported Q4 2026 earnings with details on revenue, adjusted earnings per share, segment performance, and management outlook on volumes, pricing, and cost initiatives. Quarterly earnings updates provide financial metrics that can shift near-term investor views but rarely alter long-term company trajectory on their own.

3

Amcor PLC stock yields 5.5 percent with earnings growth accelerating. Accelerating earnings growth supports moderate influence on Amcor financial performance and sentiment.

3

Amcor PLC held Q4 earnings call covering financial results, operational updates and company outlook. Q4 earnings call supplies performance data and guidance that can shift near-term investor views.

3

Amcor PLC earnings results attract market focus as investors assess company performance. Earnings results typically trigger moderate short-term valuation shifts without altering long-term trajectory.

3

Amcor PLC (AMCR) reported Q4 earnings with analysis of key metrics. Q4 earnings and metrics provide financial data likely to moderately affect near-term investor sentiment and valuation.

3

Amcor discusses synergies with Berry at one-year mark post-deal. Berry deal synergies signal moderate operational and financial gains for Amcor.

3

Amcor exceeded quarterly forecasts while investors evaluate the company's outlook during a transition period. Quarterly beat delivers moderate short-term sentiment lift but transition outlook caps broader trajectory changes.

3

Amcor PLC (AMCR) reported Q4 earnings and revenues that beat analyst estimates. Earnings beat signals positive recent results but rarely shifts long-term company trajectory.

10 Aug

3

Amcor PLC is scheduled to release Q4 earnings, with analysis focusing on potential effects to the stock price. Earnings releases can moderately move stock prices through updated financial views but rarely redefine long-term company direction.

23 Jul

3

Amcor PLC prepares to report Q3 2026 earnings with analyst forecasts centered on revenue, margins and segment performance. Earnings preview can moderately shift near-term investor expectations and share price.

14 Jul

3

Mondelez International increases use of recycled packaging while positioned as undervalued growth stock. Mondelez shift toward recycled packaging raises potential demand for Amcor sustainable packaging solutions.

13 Jul

3

Amcor expands packaging facility in China to boost regional footprint. China facility expansion supports Amcor operational growth in Asia.

9 Jul

3

Amcor expands packaging facility in China. China facility expansion supports Amcor operational growth in major market.

8 Jul

3

LYB partners with Mondelez and others to develop flexible packaging solutions. Partnership targets flexible packaging segment central to Amcor operations and positioning.

1 Jul

3

Amcor PLC ties up with Kelpi for seaweed-based coatings, potentially altering its bull case. Tie-up adds sustainable coatings innovation with moderate effects on operations and positioning.

3

Amcor partners with Kelpi to advance sustainable packaging solutions. Partnership supports sustainable packaging initiatives with moderate effects on operations and positioning.

29 Jun

3

Amcor partners with Kelpi to advance next-generation barrier materials for fiber packaging. Partnership targets product innovation in barrier materials that may moderately strengthen Amcor's fiber packaging position.

15 Jun

3

Amcor PLC appoints new leaders to accelerate growth. Leadership changes may influence strategy execution and growth pace but remain limited in overall market impact.

5 Jun

3

Amcor expands healthcare packaging capacity and earns high value marks, drawing investor reactions. Healthcare packaging capacity expansion signals growth in a key sector for Amcor.

4 Jun

3

Amcor expands healthcare packaging capacity in India. Capacity expansion supports moderate growth in healthcare packaging operations.

21 May

3

Amcor PLC initiates search for startups to advance rigid packaging technologies and solutions. Startup outreach targets incremental packaging innovation that may modestly improve product capabilities and positioning.

stockrow.com/AMCR · Data as of Jun 30, 2026 · For information only; not investment advice. · © 2026 stockrow.com