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Financial data sourced from official regulatory filings and verified market data providers. Metrics calculated using GAAP/IFRS standards.

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Last updated: April 2026

SLGN PEER ANALYSIS

Silgan Holdings Inc — metric-by-metric comparison with peers and the industry median

SLGNSilgan Holdings Inc

🇺🇸 USA · NYSE · Consumer Cyclical · Packaging & Containers

Value itDuel
PriceFinancialsPeers

Overall Profile & Returns

· Packaging & Containers

Position Within Industry

0 = weak quartile, 100 = strong quartile
ValuationProfitabilityGrowthFinancial HealthDividend
SLGNIndustry median

Scores normalize each metric against industry quartiles (p25–p75); direction is inverted for lower-is-better metrics.

Return Comparison

1-Year
Split-adjusted
SLGN-16.6%CCL-B+16.1%AMC-7.1%WPK-2.4%ORA-26.3%LILAK+44.8%
Year-to-Date (YTD)
SLGN+16.1%CCL-B+7.3%AMC+6.0%WPK-1.4%ORA-35.9%LILAK+19.8%
1-Year
Split-adjusted
SLGN-16.6%GEF-B+31.6%GEF+10.7%SON+28.7%REYN+29.6%GPK-49.0%
Year-to-Date (YTD)
SLGN+16.1%GEF-B+25.2%GEF+12.0%SON+34.2%REYN+21.1%GPK-26.4%

Key Metric Comparison

P/E

Lower is better
SLGN15.96CCL-B20.15AMC30.64WPK13.65ORA14.16LILAK13.70Median 17.60

ROE

Higher is better
SLGN14.0%CCL-B14.5%AMC8.8%WPK10.4%ORA4.3%LILAK10.8%Median 10.1%

Net Margin

Higher is better
SLGN4.4%CCL-B10.4%AMC3.1%WPK11.9%ORA5.7%LILAK11.3%Median 3.9%

Revenue Growth

Higher is better
SLGN17.4%CCL-B4.3%AMC65.5%WPK-1.5%ORA-39.0%LILAK-12.8%Median 6.7%

P/E

Lower is better
SLGN15.96GEF-B5.52GEF14.34SON5.63REYN17.50GPK11.75Median 17.60

ROE

Higher is better
SLGN14.0%GEF-B38.3%GEF38.3%SON34.3%REYN15.0%GPK8.6%Median 10.1%

Net Margin

Higher is better
SLGN4.4%GEF-B26.5%GEF26.5%SON13.8%REYN8.7%GPK3.2%Median 3.9%

Revenue Growth

Higher is better
SLGN17.4%GEF-B-10.7%GEF-10.7%SON39.2%REYN2.8%GPK-0.2%Median 6.7%

All Metrics

Valuation
MetricSLGNCCL-BAMCWPKORALILAKInd. Median
P/E15.9620.1530.6413.65●14.1613.7017.60
P/B2.122.871.781.380.64●1.271.71
EV/EBITDA13.5010.6912.53—5.895.49●11.30
P/S0.70●2.090.931.620.801.551.17
Financial Health
MetricSLGNCCL-BAMCWPKORALILAKInd. Median
Current Ratio1.261.391.448.76●1.543.641.37
Debt/Equity200.8%42.3%143.4%—33.6%7.3%●64.6%
NetDebt/EBITDA6.240.845.28—1.58-1.52●2.41
Profitability
MetricSLGNCCL-BAMCWPKORALILAKInd. Median
Net Margin4.4%10.4%3.1%11.9%●5.7%11.3%3.9%
ROE14.0%14.5%●8.8%10.4%4.3%10.8%10.1%
ROA3.4%7.8%2.4%8.7%●2.6%8.2%2.7%
EBITDA Margin9.6%21.2%12.9%21.0%18.7%22.1%●13.8%
Growth + Dividend
MetricSLGNCCL-BAMCWPKORALILAKInd. Median
Rev. Growth17.4%4.3%65.5%●-1.5%-39.0%-12.8%6.7%
NI Growth6.4%-6.8%-15.6%-9.9%-87.9%10.3%●5.3%
Div. Yield1.8%1.4%4.1%0.3%7.2%●4.9%1.7%
Payout14.3%28.7%175.3%5.5%104.0%67.5%16.1%
Valuation
MetricSLGNGEF-BGEFSONREYNGPKInd. Median
P/E15.965.52●14.345.6317.5011.7517.60
P/B2.121.791.461.602.540.99●1.71
EV/EBITDA13.5011.549.706.87●12.047.6511.30
P/S0.701.461.190.761.520.37●1.17
Financial Health
MetricSLGNGEF-BGEFSONREYNGPKInd. Median
Current Ratio1.261.281.280.961.79●1.411.37
Debt/Equity200.8%41.1%●41.1%●138.1%72.1%177.1%64.6%
NetDebt/EBITDA6.241.72●1.72●3.112.574.852.41
Profitability
MetricSLGNGEF-BGEFSONREYNGPKInd. Median
Net Margin4.4%26.5%●26.5%●13.8%8.7%3.2%3.9%
ROE14.0%38.3%●38.3%●34.3%15.0%8.6%10.1%
ROA3.4%15.7%●15.7%●8.7%6.7%2.4%2.7%
EBITDA Margin9.6%14.9%14.9%20.3%●16.1%13.3%13.8%
Growth + Dividend
MetricSLGNGEF-BGEFSONREYNGPKInd. Median
Rev. Growth17.4%-10.7%-10.7%39.2%●2.8%-0.2%6.7%
NI Growth6.4%415.4%415.4%575.8%●-1.8%-55.8%5.3%
Div. Yield1.8%2.6%3.2%3.8%3.4%4.2%●1.7%
Payout14.3%4.2%4.2%20.2%58.4%47.4%16.1%

The green dot marks the best value in the group given the metric direction (higher/lower is better). All metrics use trailing-twelve-month (TTM) data.

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Data on this page refreshes once per day. Price data as of Jul 2, 26. This content is for informational purposes only and is not investment advice.