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SLGN

SLGN

Consumer Cyclical · Packaging & Containers

$41.58+2.06%
Mkt Cap: $4.39BDY: 2.06%

Performance

SLGN (SLGN) Stock Analysis 2026

Rule-based · Updated daily · Not financial advice

SLGN (SLGN) operates in the Packaging & Containers space within the Consumer Cyclical sector. With a market cap of $4.4B, it qualifies as a small-cap company. Growth is moderate and the business remains profitable, offering a balanced risk/reward profile compared to high-multiple peers.

Bull Case3
  • Forward P/E (10.2×) is lower than trailing P/E (15.6×) — analysts expect earnings to improve
  • Revenue growth of 7% YoY shows solid business momentum
  • Dividend yield of 2.06% provides consistent income on top of price appreciation
Bear Case3
  • Earnings fell 5% YoY — profitability is under pressure
  • Thin profit margin of 4.3% — little buffer against cost increases
  • High debt-to-equity of 200.83× increases financial risk, especially with elevated interest rates

Verdict

Hold

Mixed signals — strengths and risks roughly balance. Wait for a clearer catalyst.

AI Insight

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AI-generated analysis for informational purposes only. Not financial advice.

Related Articles

Revenue & Results

Dividends

Current DY

2.06%

5Y Avg Annual

$0.6680

Last Payment

$0.2100

Ex-Date

06/01/2026

Annual dividends paid per share

2011
2019
2026
Ex-DatePaymentAmountEst. DY
Latest06/01/2026
06/15/2026$0.21002.02%
03/17/2026
03/31/2026$0.21002.02%
12/01/2025
12/15/2025$0.20001.92%
09/02/2025
09/16/2025$0.20001.92%
06/02/2025
06/16/2025$0.20001.92%
03/17/2025
03/31/2025$0.20001.92%
12/02/2024
12/16/2024$0.19001.83%
09/03/2024
09/17/2024$0.19001.83%

Magic Number

Shares needed to self-fund your next purchase

$41.58

Price

÷

$0.2100

Last div. (quarterly)

=

198

shares

Own 198 SLGN shares ($8,232.84) and each quarterly dividend pays for 1 new share — the snowball runs on its own.

Investment target

$8,232.84

New shares / year

+4 shares

If You Had Invested…

Hypothetical return based on historical prices

$

* Dividend reinvestment calculated at ex-date price. For informational purposes only.

Earnings

Next Earnings

Jul 29, 2026

43

days

EPS (TTM)

$2.67

P/E (TTM)

15.6

Fwd P/E

10.2

Earnings History

SEC EDGAR · official filings

SEC filings

SEC Filings

Official EDGAR documents

All filings

Key Statistics

Valuation

Market Cap$4.39B
P/E Ratio15.57
Forward P/E10.18
P/B Ratio
PEG Ratio0.79
EPS (TTM)$2.67

Trading

Open
Day High
Day Low
52W High$57.04
52W Low$35.68
Volume
Avg Volume (3M)838,441
Beta0.71

Dividends

Dividend Yield2.06%
Annual Rate$0.84
Ex-Div Date2026-06-01
Payout Ratio30.34%

Profitability

Profit Margin4.31%
Operating Margin8.69%
ROE12.87%
ROA4.52%
Revenue Growth6.50%
Earnings Growth-5.20%

Balance Sheet

Total Revenue$6.58B
Total Debt$4.66B
Debt / Equity200.83
Current Ratio1.26
Free Cash Flow$276.64M

Fair Value Estimates

Current price: $41.58

Graham Number

√(22.5 × EPS × Book Value)

$36.32

-12.6% downside

Benjamin Graham's intrinsic value formula. Assumes a fair stock trades at no more than 22.5× the product of EPS and book value per share.

Bazin Ceiling Price

Avg. Annual DPS (5Y) ÷ 6%

$11.60

-72.1% downside

Décio Bazin's dividend-based ceiling. The max price you should pay so that dividends alone deliver at least 6% annual yield on your cost basis.

These are simplified estimates. Not financial advice.

Buy & Hold Checklist

Quality criteria for long-term holding

8/10

80% score

Pays dividends

15Y hist.

15+ years of dividend history

Dividend consistency (5Y+)

15 yrs

Uninterrupted dividend payments for at least 5 years

ROE above 10%

12.9%

Return on equity — measures how efficiently capital is used

Positive profit margin

4.3%

Net profit margin must be positive — company earns more than it spends

Revenue growth (annual)

+6.5%

Annual revenue must be growing compared to the prior year

Earnings growth (annual)

-5.2%

Annual earnings must be growing compared to the prior year

Debt/Equity below 2×

200.83×

Low financial leverage reduces risk of distress

Current ratio above 1

1.26×

Short-term assets must cover short-term liabilities

Daily liquidity above $5M

$35M/day

High trading volume ensures easy entry and exit

Dividend yield above 0%

2.06%

Stock must distribute income to shareholders

Related Assets

Consumer Cyclical

About SLGN

Silgan Holdings Inc., together with its subsidiaries, manufactures and sells rigid packaging solutions for consumer goods products in the United States and internationally. It operates through three segments: Dispensing and Specialty Closures, Metal Containers, and Custom Containers. The company offers integrated dispensing packaging solutions, proprietary metal and plastic specialty closures, and capping/sealing equipment and detection systems for fragrance and beauty, food, beverage, personal and health care, home care, and lawn and garden markets. It also provides steel and aluminum containers used by processors and packagers for food products, such as pet food, vegetables and fruits, soup, proteins, and other miscellaneous food products, as well as general line metal containers for products, including promotional products. In addition, the company offers custom designed polyethylene, polyethylene terephthalate, containers, thermoformed barrier and non-barrier bowls, trays for shelf-stable food products, and plastic caps, sifters and fitments for food and household products, including salad dressings, condiments, peanut butter, spices, liquid margarine, powdered drink mixes, and arts and crafts supplies. It markets its products primarily through direct sales force, as well as through a network of distributors, and an online shopping catalog. The company was founded in 1987 and is headquartered in Norwalk, Connecticut.

Sector

Consumer Cyclical

Industry

Packaging & Containers

Location

Norwalk, United States

Employees

17,320