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Sector: Consommation Cyclique
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Silgan Holdings Inc.

SLGN Mid Cap

Consumer Cyclical · Packaging & Containers

Mis à jour: Jun 18, 2026, 22:21 UTC

36,34 €
-0.45% aujourd'hui
52W: 31,10 € – 49,73 €
52W Low: 31,10 € Position: 28.1% 52W High: 49,73 €

Price Chart

Indicateurs clés

P/E Ratio
15.61x
Cours/Bénéfice
Forward P/E
10.21x
P/E prévisionnel
P/S Ratio
0.67x
Cours/Ventes
EV/EBITDA
8.82x
Valeur d'entreprise/EBITDA
Rend. dividende
2.02%
Rendement annuel du dividende
Cap. boursière
3,8 Md €
Capitalisation boursière
Croissance du CA
6.5%
Croissance du CA sur un an
Marge bénéficiaire
4.31%
Marge nette
ROE
12.87%
Rentabilité des capitaux propres
Beta
0.71
Sensibilité au marché
Positions vendeuses
9.63%
% du flottant vendu à découvert
Volume moyen
838,379
Volume quotidien moyen

Valuation Analysis

Signal
Undervalued
vs. S&P 500 avg P/E (24.7x)
Analyst Consensus
None
12 analysts
Avg. Price Target
46,35 €
+27.56% upside
Target Range
38,36 € – 53,18 €

About the Company

Sector: Consumer Cyclical Industry: Packaging & Containers Country: United States Employees: 17,320 Exchange: NYQ

Silgan Holdings Inc. en bref

Silgan Holdings Inc. (SLGN) is currently trading at 36,34 € with a market capitalization of 3,8 Md €. The trailing P/E ratio stands at 15.61x, with a forward P/E of 10.21x. The 52-week range spans from 31,10 € to 49,73 €; the current price is 26.9% below the yearly high. Year-over-year revenue growth stands at +6.5%. The net profit margin stands at 4.31%.

💰 Dividende

Silgan Holdings Inc. pays an annual dividend of 0,73 € per share, representing a yield of 2.02%. The payout ratio stands at 30.34%.

📊 Avis des analystes

12 analystes évaluent Silgan Holdings Inc. (SLGN) au consensus : None. L'objectif de cours moyen est de 46,35 €, soit un potentiel de +27.56% par rapport au cours actuel. La fourchette des objectifs de cours des analystes va de 38,36 € à 53,18 €.

Silgan Holdings Inc. : la thèse d'investissement en détail

Silgan Holdings Inc. (SLGN) operates in the Consumer Cyclical — specifically Packaging & Containers — and is headquartered in United States. Below is a structured read of the investment case built directly from the latest fundamentals, valuation multiples, analyst positioning and smart-money flows. Each section translates raw numbers into the investment logic they imply, so you can decide whether the risk/reward fits your portfolio.

Le scénario haussier

Our valuation screen flags the stock as undervalued relative to its fundamentals — multiples are running below where the cash flow profile would normally justify.

Le scénario baissier

With a net margin of just 4.31%, the business has little room to absorb cost shocks or pricing pressure — a single bad quarter can swing the company to a loss. The debt-to-equity ratio of 200.83% is elevated, meaning the company relies heavily on creditors — refinancing terms will become more important than operational performance in the next economic downturn.

Valorisation en contexte

With a PEG ratio of 0.79, the price-to-earnings multiple is actually below the company's growth rate — classic value-meets-growth territory that Peter Lynch would have called a 'GARP' opportunity. The EV/EBITDA multiple of 8.82x is below the historical equity-market average — strategic acquirers would find the cash-flow profile attractive at this level.

À surveiller

  • The forward P/E of 10.21x is meaningfully below the trailing 15.61x — analysts expect earnings to step up; the next earnings release is the test.
  • The analyst consensus price target implies 27.56% upside — if the next two quarters confirm the underlying thesis, target hikes typically follow.

Thèse d'investissement : forces et faiblesses

Points forts
  • Actuellement jugée sous-évaluée
  • Rendement du dividende solide de 2.02%
  • Free cash flow positif
Points faibles
  • Faible rentabilité (marge 4.31%)
  • Endettement élevé (D/E 200.83)

Aperçu technique

MM 50 jours
34,27 €
+6.03% vs. cours
MM 200 jours
36,23 €
+0.29% vs. cours
Sous le plus haut 52s
−26.9%
49,73 €
Au-dessus du plus bas 52s
+16.8%
31,10 €

The price is in a transition zone relative to the moving averages — no clear signal.

Profil de risque

Risque de marché (Bêta)
0.71 · Défensive
Évolue moins que le marché global
Positions vendeuses
9.63% · Élevé
% du flottant vendu à découvert
Dette/Capitaux propres
200.83 · Élevé
Dette totale / capitaux propres

The data points to relatively defensive market behavior, elevated short interest (9.63%), higher leverage relative to equity.

Trading Data

50-Day MA: 34,27 €
200-Day MA: 36,23 €
Volume: 609,130
Avg. Volume: 838,379
Short Ratio: 10.09
P/B Ratio: 1.9x
Debt/Equity: 200.83x
Free Cash Flow: 241 M €

💵 Dividend Info

Dividend Yield
2.02%
Annual Rate
0,73 €
Payout Ratio
30.34%

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