
Amcor plc
Materials · USD
Price
$41.69
Cap
$18.4B
Earnings
3/4 beat
30d Trend
-2%
Lower half of range — may offer entry value
Target range: $43 – $63 (consensus: $52)
Consensus: Moderate Buy
Earnings history
Q2 2026
BEAT
0.86 vs 0.83
Q1 2026
BEAT
0.965 vs 0.95
Q4 2025
BEAT
0.21 vs 0.2
Q3 2025
MET
0.18 vs 0.18
Key macro factors
Global Inflation Risk and High Oil Prices: The Middle East conflict drives oil prices higher, increasing global inflation risk. For Amcor, this translates to elevated costs for raw materials (such as petroleum-derived resins) and transportation, potentially impacting profit margins.
US CPI Inflation Data: The US CPI inflation data for March significantly influences consumer spending patterns. As a producer of packaging for consumer goods, Amcor's sales volumes are sensitive to changes in consumer purchasing power and confidence.
Global Monetary Policy Tightening: The increasing probability of a Bank of Japan rate hike due to accelerating Producer Price Index (PPI), alongside general global monetary tightening trends, can lead to higher borrowing costs for Amcor's global operations and investments, impacting its financial performance.
Amcor plc is a global leader in developing and producing responsible packaging solutions for food, beverage, pharmaceutical, medical, home- and personal-care, and other products, operating through its Flexibles and Rigid Packaging segments.
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