SWR (United Kingdom) - Smurfit Westrock Plc has been performing well over the last 12 months making 35 new higher highs and is now up around 42.58%. If you had invested $1,000 into it 12 months ago, you would now have around a $425.77 profit. A nice return on your investment. If however you had managed to pick the lowest price over the last 12 months you would be up 55.63% or around $556.30 profit in your pocket.
Performance
# of Higher Highs
% Price Change
These are the top-level executives and decision-makers within a corporation, whose actions and insights can significantly impact the company's financial performance. You can do more research on them to find out if they had good (or bad) track records in leading previous businesses to success that they may have been involved in.
President, Group CEO & Director
1963
61
President & Chief Executive Officer of Europe, MEA & APAC
1966
58
Group Chief Accounting Officer
1970
54
Executive VP, Group CFO & Executive Director
1971
53
Group General Counsel
NA
NA
Group SVP Finance & Company Secretary
1976
48
President & Chief Executive Officer North America (Including Mexico)
1968
56
Chief Human Resources Officer
1974
50
Group Chief Sustainability Officer
1979
45
President & Chief Executive Officer of LATAM
NA
NA
This daily financial sentiment score is aggregated across a wide range of news announcements and articles to provide a general market sentiment for each stock on daily basis. it's a valuable resouce for stock traders, providing real-time insights into market sentiment, which can help inform trading decisions and anticipate price movements based on a wide range news coverage and the publics likely reaction to it.
Technical indicators help investors analyze stock price trends and volatility. The 200 and 50-day moving averages show the average stock price over longer and shorter periods, highlighting potential support and resistance levels. The 52-week high and low indicate the stock's price range over the past year, providing a sense of its volatility. Beta measures the stock's sensitivity to market movements, with values below 1 indicating less volatility than the market.
These metrics provide a snapshot of a company’s financial health and market valuation, helping investors gauge whether a stock is overvalued, undervalued, or fairly priced. By examining factors like profitability, revenue generation, and asset value, investors can assess a company’s performance relative to its peers and the broader market. Metrics such as price-to-earnings, price-to-sales, and enterprise value ratios offer insights into how the market values a company’s earnings, sales, and cash flow generation potential. While these figures provide valuable context, they are most effective when combined with other analyses and compared against industry benchmarks.
Trailing PE
Forward PE
Price Sales TTM
Price Book MRQ
Enterprise Value
Enterprise Value Revenue
Enterprise Value Ebitda
Shares statistics offer insights into stock ownership and market availability. The percentage of insiders and institutions reflects who holds the stock, with high institutional ownership often suggesting confidence in the company. Shares outstanding represent the total number of shares issued, while the shares float indicates the number available for public trading, affecting liquidity and volatility.
percent institutions
0.000
Earnings annual refers to a company's total profits or net income over the course of a full fiscal year. This metric provides a comprehensive overview of a company’s financial performance, reflecting the impact of both operational efficiency and market conditions. Annual earnings are crucial for evaluating the company’s profitability, growth trajectory, and overall financial health, serving as a key indicator for investors, analysts, and stakeholders to assess its long-term prospects.
Earnings history refers to the record of a company's profits or net income over multiple periods, typically spanning several quarters or years. This data provides valuable insights into the company’s financial performance and its ability to generate consistent profits. By examining earnings history, investors and analysts can evaluate trends, identify patterns, and assess the sustainability of earnings, helping to make informed decisions about the company’s future potential and financial stability.
Date
Report Date
Before After Market
Eps Actual
Eps Estimate
Eps Difference
Surprise Percent
2024-06-30
2024-07-30
After Market
-202.966
0.470
-203.436
-43284.340
2009-06-30
2009-08-12
2.628
2015-09-30
2015-11-04
32.874
2024-12-31
2025-02-05
Before Market
2014-03-31
2014-05-02
23.499
2010-06-30
2010-08-11
-8.595
2015-12-31
2016-02-10
37.456
2013-06-30
2013-07-31
14.883
2017-12-31
2018-02-07
44.194
2013-03-31
2013-05-03
12.215
2017-03-31
2017-05-05
26.856
2011-12-31
2012-02-08
32.997
2014-12-31
2015-02-11
6.876
2011-03-31
2011-05-06
12.848
2009-03-31
2009-05-08
3.406
2016-03-31
2016-05-06
29.393
2008-09-30
2008-11-12
13.209
2016-12-31
2017-02-08
36.382
2013-09-30
2013-11-06
20.343
2024-09-30
2024-10-30
Before Market
1.220
0.720
0.500
69.444
2013-12-31
2014-02-12
21.255
2009-09-30
2009-11-11
-18.195
2012-03-31
2012-05-04
22.053
2012-12-31
2013-02-06
21.068
2008-03-31
2008-05-09
13.666
2016-06-30
2016-07-27
40.623
2015-06-30
2015-07-29
30.176
2014-06-30
2014-07-30
27.210
2014-09-30
2014-11-05
25.162
2017-06-30
2017-08-02
36.646
2012-06-30
2012-08-01
19.527
2009-12-31
2010-02-10
-37.620
2008-06-30
2008-08-11
29.796
2017-09-30
2017-11-01
47.051
2010-12-31
2011-02-09
19.644
2011-09-30
2011-11-09
19.580
2010-09-30
2010-11-10
13.890
2008-12-31
2009-02-11
-80.212
2016-09-30
2016-11-02
47.531
2012-09-30
2012-11-07
25.884
2015-03-31
2015-05-01
22.536
2010-03-31
2010-05-07
-6.108
2011-06-30
2011-08-10
13.610
Splits and dividends statistics provide information on a company's dividend policy and stock splits. The dividend date and ex-dividend date indicate when dividends are paid and when new investors become ineligible for the next payout. The forward annual dividend rate and yield show expected future income from dividends. The last split date and factor reveal when the stock was last split, which can affect share price and liquidity. The payout ratio indicates the proportion of earnings paid as dividends, reflecting the company’s dividend sustainability.
forward annual dividend rate
0.000
forward annual dividend yield
0.000
Dividend history is important because it reflects a company's consistency in returning profits to shareholders. A stable or growing number of dividends over the years, like in the chart, suggests financial strength and a commitment to rewarding investors. Frequent, regular dividends can provide a reliable income stream and indicate a company's long-term stability, while any reduction or irregularity may signal potential financial challenges.
Comprehensive financial data for SWR:United Kingdom, including detailed insights into cash flow, balance sheets, and income statements—all in one convenient section.
A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time, typically at the end of a quarter or fiscal year. It is of significant interest to stock investors as it shows the company's total assets, liabilities, and stockholders' equity, allowing investors to assess its financial health and potential for growth. The charts below represent various terms and figures on the balance sheet and provide stock investors with crucial information about a company's financial health, asset composition, debt obligations, and equity structure, enabling them to make informed investment decisions.