Valuation: Smurfit Westrock Plc

Market Cap 24.1B 21.19B 19.98B 18.23B 34.09B 2,313B 34.36B 240B 92.91B 1,177B 90.47B 88.51B 3,831B P/E 2026 *
24.6x
P/E 2027 * 13.1x
Enterprise Value 37.24B 32.76B 30.88B 28.18B 52.69B 3,575B 53.1B 371B 144B 1,820B 140B 137B 5,921B EV / Sales 2026 *
1.16x
EV / Sales 2027 * 1.07x
Free-Float
99.35%
Yield 2026 *
3.99%
Yield 2027 * 4.11%
Change 5-day change 1-year change 3-year change Capi.($)
-.--%-0.38% - - 24.1B
-1.05%+1.14%+6.36%+34.31% 24.1B
-1.19%+1.08%+10.58%+59.74% 21.09B
-2.30%-1.88%-24.58%+2.38% 18.47B
+2.01%+2.28%+60.77%-40.37% 6.07B
+0.87%+3.76%+56.13%+69.61% 5.54B
-1.32%+2.34%+10.83%-7.52% 4.94B
+0.88%-1.08%-18.54%-44.70% 4.75B
-0.81%-0.81%+68.51%-25.61% 3.91B
+0.63%-0.13%+3.98%+0.03% 3.59B
Average -0.24%-0.34%+19.34%+5.32% 10.27B
Weighted average by Cap. -0.68%+0.06%+9.19%+20.79%

Financials

2026 *2027 *
Net sales 32.13B 28.27B 26.65B 24.31B 45.46B 3,085B 45.82B 320B 124B 1,570B 121B 118B 5,109B 34.03B 29.94B 28.22B 25.75B 48.15B 3,267B 48.53B 339B 131B 1,663B 128B 125B 5,411B
Net income 1.01B 892M 841M 767M 1.43B 97.35B 1.45B 10.09B 3.91B 49.54B 3.81B 3.72B 161B 1.83B 1.61B 1.52B 1.39B 2.59B 176B 2.61B 18.24B 7.07B 89.55B 6.88B 6.73B 291B
Net Debt 13.15B 11.56B 10.9B 9.95B 18.6B 1,262B 18.75B 131B 50.7B 642B 49.36B 48.29B 2,090B 12.44B 10.95B 10.32B 9.41B 17.6B 1,194B 17.74B 124B 47.98B 608B 46.72B 45.71B 1,978B
Logo Smurfit Westrock Plc
Smurfit Westrock plc specializes in the manufacture and marketing of paper-based packaging solutions. The group's products include corrugated board, solid board, folding cartons, graphic boards, specialist packaging, product containers, paper bags, kraft packaging and more. Smurfit Westrock plc also offers solutions for the manufacture and recycling of packaging. Products are targeted at the industrial, food, e-commerce, retail and consumer goods sectors. Net sales are distributed geographically as follows: Europe/Middle East/Africa/Asia/Pacific (45.3%), North America (46.9%) and Latin America (7.8%).
Employees
97,000
Trader
Investor
Global
Quality
ESG MSCI
AA