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Amcor

$AMCRConsumer Cyclical Save AMCR

XNYS · Packaging & Containers

Last stored close · Sep 18, 2026

Close · Sep 18, 2026

$41.90-1.13%

The live price is free with an account

Model Target

available with Pro

Implied upside

vs the model target

Valuation methods

the methods behind the target

50/100

Moderate

QUALITY59VALUE53TECH41RISK43SENT43
Quality & growth59
Valuation53
Technical41
Risk43
Sentiment Signal43

weighted blend of the five model families · nightly cross-sectional scoring · the Sentiment Signal breathes intraday

Amcor scores 50 out of 100 overall, which we rate moderate. Quality & growth is its strongest area and Technical its weakest.

Computed summary · a narrated read appears after the next narration pass

What helps

  • Quality & growth
  • Valuation

What to watch

  • Technical
  • Risk
  • Sentiment Signal

AI narration of the model output · research, not investment advice · Sep 18, 2026, 20:54 UTC

Amcor is a global producer of plastic packaging primarily for the fast-moving consumer goods industry. About 90% of earnings are exposed to the flexible packaging business. This is soft disposable plastic for a variety of food, drink, healthcare, and hygiene products. The remainder of earnings are from the Latin and North American rigids business, which is primarily beverage bottling for the soft drink industry. Operating in more than 35 countries, Amcor has market share in its established regions of North America, Latin America, Europe, and Asia-Pacific. About half of group sales are derived from North America and the remainder is split equally between Western Europe and emerging markets. Australia and New Zealand sales make up less than 5% of group sales.

#474 by market cap in our coverage · ~77,000 employees · Listed 2019-06-11 · www.amcor.com

Price history

AMCR · 260 stored daily closes · Sep 8, 2025Sep 18, 2026+1.9% over the series
$36.00$38.00$40.00$42.00$44.00$46.00$48.00$50.00Sep 8, 2025Jan 9, 2026May 15, 2026Sep 18, 2026

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Members switch between 1D, 1M, 6M, 1Y, 2Y and 5Y and see the live price. Signed out, this is the one-year stored series the technicals below are computed from.

Market intelligence

Peer position

Consumer Cyclical

#41 / 115sector rank by TickerWhale Score

TickerWhale Score 50 vs sector average 45.6 (+4.4)

Revenue growth (industry)Top 10%

Gross margin (industry)Top 70%

Return on equity (industry)Top 80%

P/E (industry)Pricier than 56%

Compare with peers →

Technical analysis

our read · what classic indicators say

41/100Weak vs universe

Ranks 41st of 100 covered names on our technical composite — the composite itself scores 43/100 · 25% of the TickerWhale Score

Sell

2 buy · 5 sell · 1 neutral of 8 votes

Textbook signals on this stock alone — not part of the TickerWhale Score

TickerWhale rates AMCR's technical setup weak — 41st percentile of the covered universe. Classic chart indicators lean sell, pointing the same way.

0 / 9constructive

  • vs 200-day-2.0%
  • vs 50-day-7.2%

Mixed

  • RSI (14)33 · neutral
  • Stochasticbuy
  • CCIsell
  • Williams %Rbuy

Weak

  • ADX (14) trend strength20· trending
  • MACD (12,26,9)sell(histogram -0.405)

8 votes · 9 moving averages count as one · Bollinger %B never votes

Strong Sell
▲ Sell
Neutral
Buy
Strong Buy

Moving averages (9) agree on sell 0 buy vs 9 sell — and carry one vote between them.

Oscillators (7) vote individually: 2 buy · 4 sell · 1 neutral.

Result2 buy vs 5 sell of 8 votes = Sell. Neutral votes never decide the verdict.

Across all 17 tracked indicators: 2 buy · 2 neutral · 13 sell — a different count from the 8 votes above, because the 9 averages are counted individually here · true range basis · data as of Sep 18, 2026

Fundamentals & valuation

2026-09-18 · revised_latest
  • P/E (TTM)17.6
  • P/S (TTM)0.8
  • P/B1.7
  • EV/EBITDA
  • EV/Sales1.4
  • PEG0.63
  • Gross margin20.0%
  • Net margin4.7%
  • ROE9.4%
  • Debt/Equity1.19
  • Revenue growth (YoY)56.6%
  • EPS growth (YoY)28.0%

Green favourable · red stretched — multiples and D/E vs industry peers, margins and growth vs absolute thresholds.

Market capitalisation — $19.5B

Fundamentals history

Reported statement totals across recent periods.

Jun '26 vs Jun '25:Revenue +56.6%Net income +116.4%EPS +48.7%FCF +57.2%
MetricJun '26Jun '25Jun '24
Revenue$23.5B$15.0B$13.6B
Gross profit$4.7B$2.8B$2.7B
Operating income$1.7B$956M$1.2B
Net income$1.1B$511M$730M
EPS (diluted)$2.38$1.60$2.52
Free cash flow$1.3B$828M$868M
Cash$1.1B$827M$588M
Total debt$14.9B$15.0B$7.2B
Equity$11.8B$11.7B$3.9B
Net debt$13.7B$14.2B$6.6B
Debt / equity1.261.281.85
Liabilities / assets0.680.680.76

Fundamentals are stored revised/latest (ADR-009): each period reflects the most recent vendor refresh, NOT point-in-time as-reported values. Do not use this series to claim what was known on a past date.

Model Target

Model Target is a Pro feature

Scores, factors and technicals stay free. The model's price target is part of TickerWhale Pro.

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A target exists for this name — the model priced it in the latest nightly run. Pro members see the target, its range and the methods behind it; one name's target is free every trading day.

Or see the current free one: MU

Peers

CompanyScorePulseP/EP/E fwdP/BEV/SalesPriceChgEstimateUpsideRev. gr.
AMCRCurrentAmcor504317.61.71.4$41.90-1.13%+56.6%
CROXCrocs756010.24.41.8$122.24-0.62%-2.0%
EATBrinker International756017.819.51.5$196.71-1.43%+7.9%
FIVEFive Below696321.05.22.3$234.14-1.12%+25.6%
HRBH&R Block69517.948.81.6$44.25-1.25%+4.9%
ANFAbercrombie & Fitch Co. -676911.24.41.0$135.76-2.05%+4.7%

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