AVY vs. SLGN: A Head-to-Head Stock Comparison
Updated onHere’s a clear look at AVY and SLGN, comparing key factors like historical performance, profitability, financial strength, growth, dividend, and valuation.
Company Profile
Symbol | AVY | SLGN |
---|---|---|
Company Name | Avery Dennison Corporation | Silgan Holdings Inc. |
Country | United States | United States |
GICS Sector | Materials | Materials |
GICS Industry | Containers & Packaging | Containers & Packaging |
Market Capitalization | 12.63 billion USD | 4.65 billion USD |
Exchange | NYSE | NYSE |
Listing Date | February 21, 1973 | February 14, 1997 |
Security Type | Common Stock | Common Stock |
Historical Performance
This chart compares the performance of AVY and SLGN by tracking the growth of an initial $10,000 investment in each. Use the tabs to select the desired time period. Data is adjusted for dividends and splits.
Historical Performance at a Glance
Symbol | AVY | SLGN |
---|---|---|
5-Day Price Return | -0.44% | 1.97% |
13-Week Price Return | -11.75% | -21.68% |
26-Week Price Return | -8.15% | -12.36% |
52-Week Price Return | -24.30% | -14.73% |
Month-to-Date Return | -0.13% | 1.05% |
Year-to-Date Return | -13.45% | -16.50% |
10-Day Avg. Volume | 0.55M | 1.06M |
3-Month Avg. Volume | 0.66M | 0.97M |
3-Month Volatility | 18.03% | 34.73% |
Beta | 1.03 | 0.76 |
Profitability
Return on Equity (TTM)
AVY
31.33%
Containers & Packaging Industry
- Max
- 36.99%
- Q3
- 19.86%
- Median
- 10.47%
- Q1
- 6.76%
- Min
- -0.20%
In the upper quartile for the Containers & Packaging industry, AVY’s Return on Equity of 31.33% signals a highly effective use of shareholder capital to drive profitability compared to most of its peers.
SLGN
14.47%
Containers & Packaging Industry
- Max
- 36.99%
- Q3
- 19.86%
- Median
- 10.47%
- Q1
- 6.76%
- Min
- -0.20%
SLGN’s Return on Equity of 14.47% is on par with the norm for the Containers & Packaging industry, indicating its profitability relative to shareholder equity is typical for the sector.
Net Profit Margin (TTM)
AVY
8.14%
Containers & Packaging Industry
- Max
- 10.84%
- Q3
- 8.25%
- Median
- 4.91%
- Q1
- 3.65%
- Min
- -0.12%
AVY’s Net Profit Margin of 8.14% is aligned with the median group of its peers in the Containers & Packaging industry. This indicates its ability to convert revenue into profit is typical for the sector.
SLGN
4.90%
Containers & Packaging Industry
- Max
- 10.84%
- Q3
- 8.25%
- Median
- 4.91%
- Q1
- 3.65%
- Min
- -0.12%
SLGN’s Net Profit Margin of 4.90% is aligned with the median group of its peers in the Containers & Packaging industry. This indicates its ability to convert revenue into profit is typical for the sector.
Operating Profit Margin (TTM)
AVY
10.81%
Containers & Packaging Industry
- Max
- 22.03%
- Q3
- 13.09%
- Median
- 8.06%
- Q1
- 6.46%
- Min
- -0.07%
AVY’s Operating Profit Margin of 10.81% is around the midpoint for the Containers & Packaging industry, indicating that its efficiency in managing core business operations is typical for the sector.
SLGN
9.06%
Containers & Packaging Industry
- Max
- 22.03%
- Q3
- 13.09%
- Median
- 8.06%
- Q1
- 6.46%
- Min
- -0.07%
SLGN’s Operating Profit Margin of 9.06% is around the midpoint for the Containers & Packaging industry, indicating that its efficiency in managing core business operations is typical for the sector.
Profitability at a Glance
Symbol | AVY | SLGN |
---|---|---|
Return on Equity (TTM) | 31.33% | 14.47% |
Return on Assets (TTM) | 8.42% | 3.50% |
Net Profit Margin (TTM) | 8.14% | 4.90% |
Operating Profit Margin (TTM) | 10.81% | 9.06% |
Gross Profit Margin (TTM) | 28.57% | 17.88% |
Financial Strength
Current Ratio (MRQ)
AVY
1.04
Containers & Packaging Industry
- Max
- 1.96
- Q3
- 1.45
- Median
- 1.33
- Q1
- 1.09
- Min
- 0.87
AVY’s Current Ratio of 1.04 falls into the lower quartile for the Containers & Packaging industry. This indicates a tighter liquidity situation and a more constrained capacity to handle short-term debt than many of its competitors.
SLGN
0.96
Containers & Packaging Industry
- Max
- 1.96
- Q3
- 1.45
- Median
- 1.33
- Q1
- 1.09
- Min
- 0.87
SLGN’s Current Ratio of 0.96 falls into the lower quartile for the Containers & Packaging industry. This indicates a tighter liquidity situation and a more constrained capacity to handle short-term debt than many of its competitors.
Debt-to-Equity Ratio (MRQ)
AVY
1.61
Containers & Packaging Industry
- Max
- 4.15
- Q3
- 2.03
- Median
- 1.20
- Q1
- 0.53
- Min
- 0.23
AVY’s Debt-to-Equity Ratio of 1.61 is typical for the Containers & Packaging industry, indicating its use of leverage is in line with the sector norm. This suggests a balanced approach to its capital structure.
SLGN
2.27
Containers & Packaging Industry
- Max
- 4.15
- Q3
- 2.03
- Median
- 1.20
- Q1
- 0.53
- Min
- 0.23
SLGN’s leverage is in the upper quartile of the Containers & Packaging industry, with a Debt-to-Equity Ratio of 2.27. While this approach can boost equity growth, it also exposes the company to greater financial vulnerability.
Interest Coverage Ratio (TTM)
AVY
7.97
Containers & Packaging Industry
- Max
- 13.16
- Q3
- 8.10
- Median
- 3.38
- Q1
- 2.83
- Min
- 1.06
AVY’s Interest Coverage Ratio of 7.97 is positioned comfortably within the norm for the Containers & Packaging industry, indicating a standard and healthy capacity to cover its interest payments.
SLGN
3.09
Containers & Packaging Industry
- Max
- 13.16
- Q3
- 8.10
- Median
- 3.38
- Q1
- 2.83
- Min
- 1.06
SLGN’s Interest Coverage Ratio of 3.09 is positioned comfortably within the norm for the Containers & Packaging industry, indicating a standard and healthy capacity to cover its interest payments.
Financial Strength at a Glance
Symbol | AVY | SLGN |
---|---|---|
Current Ratio (MRQ) | 1.04 | 0.96 |
Quick Ratio (MRQ) | 0.70 | 0.50 |
Debt-to-Equity Ratio (MRQ) | 1.61 | 2.27 |
Interest Coverage Ratio (TTM) | 7.97 | 3.09 |
Growth
Revenue Growth
EPS Growth
Dividend
Dividend Yield (TTM)
AVY
2.26%
Containers & Packaging Industry
- Max
- 7.14%
- Q3
- 4.65%
- Median
- 3.69%
- Q1
- 2.00%
- Min
- 0.00%
AVY’s Dividend Yield of 2.26% is consistent with its peers in the Containers & Packaging industry, providing a dividend return that is standard for its sector.
SLGN
1.80%
Containers & Packaging Industry
- Max
- 7.14%
- Q3
- 4.65%
- Median
- 3.69%
- Q1
- 2.00%
- Min
- 0.00%
SLGN’s Dividend Yield of 1.80% is in the lower quartile for the Containers & Packaging industry. This suggests the company’s strategy likely favors retaining earnings for growth over providing a high dividend income.
Dividend Payout Ratio (TTM)
AVY
39.97%
Containers & Packaging Industry
- Max
- 222.75%
- Q3
- 132.16%
- Median
- 65.79%
- Q1
- 28.53%
- Min
- 0.00%
AVY’s Dividend Payout Ratio of 39.97% is within the typical range for the Containers & Packaging industry, suggesting a balanced approach between shareholder payouts and company reinvestment.
SLGN
27.80%
Containers & Packaging Industry
- Max
- 222.75%
- Q3
- 132.16%
- Median
- 65.79%
- Q1
- 28.53%
- Min
- 0.00%
SLGN’s Dividend Payout Ratio of 27.80% is in the lower quartile for the Containers & Packaging industry. This suggests a conservative dividend policy, with a strategic focus on reinvesting profits for future growth.
Dividend at a Glance
Symbol | AVY | SLGN |
---|---|---|
Dividend Yield (TTM) | 2.26% | 1.80% |
Dividend Payout Ratio (TTM) | 39.97% | 27.80% |
Valuation
Price-to-Earnings Ratio (TTM)
AVY
17.72
Containers & Packaging Industry
- Max
- 24.22
- Q3
- 20.28
- Median
- 17.07
- Q1
- 15.06
- Min
- 7.79
AVY’s P/E Ratio of 17.72 is within the middle range for the Containers & Packaging industry. This suggests its valuation is in line with the sector average, representing neither a significant premium nor a discount compared to its peers.
SLGN
15.41
Containers & Packaging Industry
- Max
- 24.22
- Q3
- 20.28
- Median
- 17.07
- Q1
- 15.06
- Min
- 7.79
SLGN’s P/E Ratio of 15.41 is within the middle range for the Containers & Packaging industry. This suggests its valuation is in line with the sector average, representing neither a significant premium nor a discount compared to its peers.
Price-to-Sales Ratio (TTM)
AVY
1.44
Containers & Packaging Industry
- Max
- 1.99
- Q3
- 1.17
- Median
- 0.94
- Q1
- 0.55
- Min
- 0.31
AVY’s P/S Ratio of 1.44 is in the upper echelon for the Containers & Packaging industry. This means the company is valued richly on its revenue stream compared to its peers, suggesting the stock is priced for a high level of future performance.
SLGN
0.76
Containers & Packaging Industry
- Max
- 1.99
- Q3
- 1.17
- Median
- 0.94
- Q1
- 0.55
- Min
- 0.31
SLGN’s P/S Ratio of 0.76 aligns with the market consensus for the Containers & Packaging industry. This suggests its valuation, based on sales, is seen as standard and is on par with its competitors.
Price-to-Book Ratio (MRQ)
AVY
6.23
Containers & Packaging Industry
- Max
- 4.79
- Q3
- 3.32
- Median
- 2.14
- Q1
- 1.60
- Min
- 0.89
At 6.23, AVY’s P/B Ratio is at an extreme premium to the Containers & Packaging industry. This signifies that the market’s valuation is heavily reliant on future potential rather than its current net asset value, which can be a high-risk proposition.
SLGN
2.61
Containers & Packaging Industry
- Max
- 4.79
- Q3
- 3.32
- Median
- 2.14
- Q1
- 1.60
- Min
- 0.89
SLGN’s P/B Ratio of 2.61 is within the conventional range for the Containers & Packaging industry. This shows a balanced market view, where the stock’s price is neither at a significant premium nor a discount to the book value of its peers.
Valuation at a Glance
Symbol | AVY | SLGN |
---|---|---|
Price-to-Earnings Ratio (TTM) | 17.72 | 15.41 |
Price-to-Sales Ratio (TTM) | 1.44 | 0.76 |
Price-to-Book Ratio (MRQ) | 6.23 | 2.61 |
Price-to-Free Cash Flow Ratio (TTM) | 19.03 | 4.17 |