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Read two to four stocks on the same scale — return, valuation and volatility in one table.

Selected1M Return
  • IPInternational Paper Co− 8.79%
  • SWSmurfit WestRock PLC− 0.30%
  • PKGPackaging Corp of America− 3.49%
  • AMCRAmcor PLC+ 0.60%

Four symbols is the limit; remove one to add another.

Period Return

Each series is converted to a percentage of its own starting point, so all of them begin at zero. What is compared is the return over the period, not price levels.

IP− 8.8%SW− 0.3%PKG− 3.5%AMCR+ 0.6%Tap or hover the chart for values along the way
MetricIPSWPKGAMCR
Return
Last Price37.2445.83237.2545.15
Daily Change+ 2.20%+ 1.26%+ 1.14%− 1.61%
Period ReturnPast Month
− 8.79%
− 0.30%
− 3.49%
+ 0.60%
Valuation
Market Cap$19.7 B$24.0 B$21.1 B$20.9 B
P/E Ratio48.5530.63
Dividend Yield5.62%3.22%
Net MarginTrailing 12M13.0%1.6%7.3%
Risk
Beta0.980.950.81
52-Week Range29.26 — $50.2532.73 — $52.65191.50 — $259.98

Company

  • IPMaterials · Packaging
  • SWMaterials · Packaging
  • PKGMaterials · Packaging
  • AMCRMaterials · Packaging

Metrics could not be loaded for AMCR: P/E, dividend, beta and the 52-week range stay empty in that column.

FinnhubUpdated 23:00

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