SILGAN HOLDINGS INC (SLGN)

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CIK 0000849869 · NYSE · Metal Cans

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, SILGAN HOLDINGS INC reported revenue of $6.48B, up 10.7% from the prior year. The company was profitable, with a net margin of 4.4% and a gross margin of 17.7%.

Key ratios (FY2025)

17.7%
Gross margin
4.4%
Net margin
12.7%
Return on equity
+10.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$6.48B$5.85B$5.99B$6.41B$5.68B$4.92B$4.49B$4.45B
Cost of Revenue$5.33B$4.84B$5.00B$5.36B$4.76B$4.05B$3.78B$3.76B$3.46B$3.10B
Gross Profit$1.15B$1.01B$992.56M$1.05B$918.42M$867.40M$713.74M$689.76M$634.55M$511.85M
Operating Income$359.49M$412.10M$356.99M$299.73M
Net Income$288.40M$276.38M$325.96M$340.85M$359.08M$308.72M$193.81M$223.99M
EPS (Diluted)$2.70$2.58$2.98$3.07$3.23$2.77$1.74$2.01$2.42$1.27
Total Assets$9.40B$8.58B$7.61B$7.35B$7.77B$6.51B$4.93B$4.58B$4.65B$3.15B
Shareholders' Equity$2.27B$1.99B$1.89B$1.72B$1.56B$1.25B$1.02B$881.26M
Cash & Equivalents$1.08B$822.85M$642.92M$585.62M$631.44M$409.48M$203.82M$72.82M$53.53M$24.69M
Operating Cash Flow$729.84M$721.87M$482.60M$748.41M$556.84M$602.51M$507.36M$506.52M$389.76M$394.55M
Capital Expenditures$307.09M$262.79M$226.81M$215.76M$232.26M$224.18M$230.94M$190.97M$174.43M$191.89M
Shares Outstanding105.44M106.79M106.50M110.08M110.41M110.06M110.78M110.43M110.39M55.05M
Dividends Per Share$0.80$0.76$0.72$0.64$0.56$0.48$0.44$0.40$0.36$0.34