Index S&P 500
P/E 22.97
EPS (ttm) 0.45
Insider Own 0.35%
Shs Outstand 1.45B
Perf Week 1.17%
Market Cap 14.94B
Forward P/E 14.00
EPS next Y 0.74
Insider Trans -1.04%
Shs Float 1.44B
Perf Month 17.10%
Income 649.00M
PEG 4.25
EPS next Q 0.20
Inst Own 53.66%
Short Float 1.69%
Perf Quarter 15.53%
Sales 13.78B
P/S 1.08
EPS this Y -4.61%
Inst Trans -0.83%
Short Ratio 2.98
Perf Half Y 15.53%
Book/sh 2.73
P/B 3.79
EPS next Y 5.66%
ROA 3.85%
Short Interest 24.38M
Perf Year -0.19%
Cash/sh 0.32
P/C 32.70
EPS next 5Y 5.40%
ROE 15.94%
52W Range 8.45 - 10.51
Perf YTD 7.26%
Dividend Est. 0.50 (4.88%)
P/FCF 18.60
EPS past 5Y 7.36%
ROI 5.65%
52W High -1.62%
Beta 0.88
Dividend TTM 0.49 (4.79%)
Quick Ratio 0.75
Sales past 5Y 10.12%
Gross Margin 19.47%
52W Low 22.37%
ATR (14) 0.19
Dividend Ex-Date May 21, 2024
Current Ratio 1.29
EPS Y/Y TTM -31.48%
Oper. Margin 9.56%
RSI (14) 73.28
Volatility 1.42% 1.80%
Employees 41000
Debt/Eq 1.94
Sales Y/Y TTM -7.73%
Profit Margin 4.71%
Recom 2.62
Target Price 9.97
Option/Short Yes / Yes
LT Debt/Eq 1.91
EPS Q/Q 8.39%
Payout 68.75%
Rel Volume 1.07
Prev Close 10.43
Sales Surprise -0.64%
EPS Surprise 0.92%
Sales Q/Q -7.03%
Earnings Apr 30 AMC
Avg Volume 8.17M
Price 10.34
SMA20 8.12%
SMA50 10.13%
SMA200 10.71%
Trades
Volume 8,718,023
Change -0.86%
Date
Action
Analyst
Rating Change
Price Target Change
Jul-10-23 Downgrade
BofA Securities
Buy → Underperform
$12.40 → $9
May-03-23 Upgrade
JP Morgan
Neutral → Overweight
$11.60 → $10.80
May-03-23 Upgrade
Jefferies
Underperform → Hold
Jan-24-23 Downgrade
JP Morgan
Overweight → Neutral
$11.70
Oct-13-22 Upgrade
BofA Securities
Underperform → Buy
Aug-18-22 Downgrade
Macquarie
Outperform → Neutral
Aug-18-22 Downgrade
Jefferies
Hold → Underperform
Aug-04-22 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Jul-19-22 Initiated
CLSA
Buy
Mar-25-22 Initiated
Truist
Hold
$12
Mar-25-22 Downgrade
BofA Securities
Buy → Underperform
$13.40 → $12.30
Dec-15-21 Upgrade
BofA Securities
Underperform → Buy
$13.20
Aug-18-21 Downgrade
Goldman
Neutral → Sell
$12 → $11.50
Apr-09-21 Initiated
Goldman
Neutral
$12
Feb-04-21 Upgrade
BMO Capital Markets
Market Perform → Outperform
$11 → $13
Feb-03-21 Upgrade
UBS
Neutral → Buy
Jan-20-21 Downgrade
Deutsche Bank
Buy → Hold
$12
Jan-05-21 Downgrade
Citigroup
Buy → Neutral
Nov-24-20 Downgrade
BofA Securities
Neutral → Underperform
Oct-14-20 Initiated
Seaport Global Securities
Neutral
Show Previous Ratings
May-09-24 04:57PM
09:40AM
07:07AM
(Thomson Reuters StreetEvents)
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(Thomson Reuters StreetEvents)
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Amcor Plc operates as a holding company, which engages in the consumer packaging business. It operates through the Flexibles and Rigid Packaging segments. The Flexibles segment develops and supplies flexible packaging globally. The Rigid Plastics segment manufactures rigid plastic containers and related products. The company was founded 1926 and is headquartered in Warmley, the United Kingdom.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Roegner Eric V PRESIDENT,AMCOR RIGID PKG Feb 09 '24 Buy 9.10 1,560 14,197 520 Feb 13 03:23 PM Guerra Karen Jane Director Feb 09 '24 Sale 9.02 25,000 225,444 75,424 Feb 13 03:30 PM NAYAR ARUN Director Dec 01 '23 Sale 9.39 10,261 96,351 52,527 Dec 05 04:50 PM Long Nicholas T. Director Dec 01 '23 Sale 9.39 9,699 91,074 36,922 Dec 05 04:47 PM Bertone Andrea E. Director Dec 01 '23 Sale 9.39 9,692 91,008 27,394 Dec 05 04:31 PM NAYAR ARUN Director Aug 23 '23 Sale 9.40 30,000 282,026 45,072 Aug 25 01:05 PM
Index RUT
P/E -
EPS (ttm) -0.92
Insider Own 1.67%
Shs Outstand 79.55M
Perf Week 8.79%
Market Cap 1.11B
Forward P/E 11.50
EPS next Y 1.21
Insider Trans 0.00%
Shs Float 78.59M
Perf Month 44.53%
Income -73.60M
PEG -
EPS next Q 0.11
Inst Own 92.63%
Short Float 5.53%
Perf Quarter 56.43%
Sales 2.04B
P/S 0.54
EPS this Y 1508.79%
Inst Trans -0.93%
Short Ratio 4.61
Perf Half Y 81.65%
Book/sh 3.16
P/B 4.39
EPS next Y 49.87%
ROA -3.45%
Short Interest 4.34M
Perf Year -12.88%
Cash/sh 2.12
P/C 6.53
EPS next 5Y 5.00%
ROE -25.42%
52W Range 7.21 - 16.21
Perf YTD 55.91%
Dividend Est. 0.44 (3.16%)
P/FCF 6.52
EPS past 5Y -
ROI -7.66%
52W High -14.50%
Beta 1.75
Dividend TTM 0.40 (2.89%)
Quick Ratio 0.65
Sales past 5Y 1.97%
Gross Margin 40.50%
52W Low 92.23%
ATR (14) 0.56
Dividend Ex-Date Jul 01, 2024
Current Ratio 1.13
EPS Y/Y TTM 59.84%
Oper. Margin 0.22%
RSI (14) 78.27
Volatility 4.18% 4.42%
Employees 4100
Debt/Eq 4.04
Sales Y/Y TTM -23.64%
Profit Margin -3.61%
Recom 2.56
Target Price 13.71
Option/Short Yes / Yes
LT Debt/Eq 2.81
EPS Q/Q -179.00%
Payout -
Rel Volume 1.19
Prev Close 14.06
Sales Surprise -0.19%
EPS Surprise -23.43%
Sales Q/Q -34.12%
Earnings May 08 BMO
Avg Volume 942.82K
Price 13.86
SMA20 23.01%
SMA50 31.53%
SMA200 50.67%
Trades
Volume 1,124,105
Change -1.42%
Date
Action
Analyst
Rating Change
Price Target Change
May-09-24 Reiterated
Telsey Advisory Group
Market Perform
$10 → $14
May-06-24 Upgrade
Seaport Research Partners
Neutral → Buy
$15
Feb-07-24 Resumed
KeyBanc Capital Markets
Sector Weight
Aug-11-23 Downgrade
Seaport Research Partners
Buy → Neutral
Aug-11-23 Downgrade
Exane BNP Paribas
Outperform → Neutral
$9
Mar-13-23 Upgrade
Seaport Research Partners
Neutral → Buy
$23
Jan-05-23 Downgrade
Piper Sandler
Overweight → Neutral
$23 → $13
Aug-18-22 Downgrade
Argus
Buy → Hold
Jul-26-22 Resumed
Piper Sandler
Overweight
$30
Jul-20-22 Downgrade
Stifel
Buy → Hold
$26 → $23
Jan-18-22 Initiated
Seaport Research Partners
Neutral
Jan-04-22 Downgrade
Robert W. Baird
Outperform → Neutral
$45 → $33
Aug-10-21 Upgrade
Exane BNP Paribas
Neutral → Outperform
$45
Feb-26-21 Reiterated
Telsey Advisory Group
Market Perform
$29 → $35
Feb-22-21 Reiterated
Pivotal Research Group
Buy
$33 → $40
Nov-06-20 Reiterated
Telsey Advisory Group
Market Perform
$26 → $29
Nov-03-20 Reiterated
Pivotal Research Group
Buy
$31 → $33
Oct-21-20 Initiated
UBS
Neutral
$30
Oct-14-20 Reiterated
B. Riley Securities
Buy
$29 → $32
Jul-27-20 Upgrade
Pivotal Research Group
Hold → Buy
$26 → $31
Show Previous Ratings
May-15-24 08:15AM
May-10-24 04:30PM
06:31AM
May-09-24 12:43PM
11:43AM
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May-08-24 04:27PM
(Chain Store Age) +11.56%
03:44PM
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06:39AM
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Feb-21-24 11:36PM
(Thomson Reuters StreetEvents)
09:01AM
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06:30AM
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Nov-09-23 11:34PM
(Thomson Reuters StreetEvents)
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Wolverine World Wide, Inc. engages in the design, manufacture, and sale of branded casual, active lifestyle, work, outdoor sport, athletic, uniform, footwear, and apparel. It operates through the following segments: Active Group & Work Group. The Active Group segment consists of Merrell footwear and apparel, Saucony footwear and apparel, Sweaty Betty activewear, and Chaco footwear. The Work Group segment consists of Wolverine footwear and apparel, Cat footwear, Bates uniform footwear, Harley-Davidson footwear and HYTEST safety footwear. The company was founded by G. A. Krause in 1883 and is headquartered in Rockford, MI.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
BOROMISA JEFFREY M Director Aug 18 '23 Buy 8.35 3,500 29,225 160,400 Aug 22 04:42 PM Stornant Michael D EVP, CFO and Treasurer Aug 16 '23 Buy 8.19 3,800 31,122 221,844 Aug 17 04:45 PM LAUDERBACK BRENDA J Director Jun 05 '23 Sale 13.68 3,050 41,724 32,345 Jun 07 04:30 PM
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