P/E Ratio
Higher than 59% of Consumer Cyclical sector peers
Updated 1735h ago
Sector Performance
59th percentileAMCR
29.1x
Sector Median
27.6x
Sector Avg
43.7x
Deep Analysis
The P/E ratio of 29.1x means that investors are willing to pay $29.10 for every $1.00 of Amcor’s annual earnings—essentially a measure of how much the stock costs relative to its profit.
This is slightly above the sector median of 27.8x, placing Amcor in the 56th percentile among Consumer Cyclical peers, indicating it trades at a modest premium. The metric has been stable over the past eight quarters, with no change year over year (+0.0%) or quarter over quarter (+0.0%), reflecting a consistent valuation without any recent compression or expansion. The combination of a premium P/E with a flat trend suggests limited near-term upside from multiple expansion, but also no signal of deteriorating earnings expectations that would create downside risk. This balanced profile supports the overall NEUTRAL verdict, as the stock is neither undervalued nor overvalued relative to its sector when earnings remain steady.
Frequently Asked Questions
What does the P/E Ratio tell investors about AMCR?
Measures how much investors pay per dollar of earnings. A high P/E signals growth expectations; a low P/E may indicate undervaluation or slow growth.
How is the P/E Ratio calculated?
P/E Ratio is calculated as: Price / EPS.
How does AMCR's P/E Ratio compare to its sector?
AMCR's P/E Ratio of 29.1x compares to a Consumer Cyclical sector median of 27.6x, placing it in the 59th percentile.
Who are AMCR's closest peers by P/E Ratio?
The closest Consumer Cyclical peers by P/E Ratio include: BKNG (27.6x), AMZN (29.0x), KMX (30.5x), ABNB (31.1x), AZO (23.0x).
The Formula
Price / EPS
Why It Matters
Measures how much investors pay per dollar of earnings. A high P/E signals growth expectations; a low P/E may indicate undervaluation or slow growth.
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29.1x
Sector Median
27.6x
Sector Avg
43.7x
How AMCR's P/E Ratio compares to sector peers.
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