Metal Cans · SIC 3411

CROWN HOLDINGS, INC.

CCK

Watch

Latest revenue

$3.26B

as of 2026-03-31

Latest net income

$175.0M

as of 2026-03-31

Net margin

5.4%

as of 2026-03-31

Price · 5Y

-0.2% / yr 14.0 pts / yr vs S&P 500 1.1% total
Compare:

Live market

delayed ≤15 min
$96.71
0.26%
Market cap
$10.81B
Enterprise value
$10.81B
P/E (trailing)
14.6×
Forward P/E
P/B
Dividend yield
1.3%
52-wk high
$116.62
52-wk low
$89.21
Beta
Shares out
111.7M

5-year trend

What this company does

AI

ITEM 1. Business Crown Holdings, Inc. (the "Company" or the "Registrant") (where the context requires, the "Company" shall include reference to the Company and its consolidated subsidiary companies) is a Pennsylvania corporation. The Company was founded in 1892 and is a leading global diversified packaging business that manufactures metal cans and ends (aluminum and steel) for the beverage, food, and aerosol industries and a wide range of transit packaging products and solutions from multiple substrates including steel, paper, and plastic. The Company’s transit packaging products include automation and equipment technologies, protective packaging solutions, and steel and plastic consumables…

AI summary unavailable — showing raw filing excerpt

Generated from CCK's filing dated 2026-02-27

Key risks

AI

ITEM 1A. Risk Factors In addition to factors discussed elsewhere in this Annual Report and in "Management’s Discussion and Analysis of Financial Condition and Results of Operations," the following are some of the important factors that could materially and adversely affect the Company’s business, financial condition and results of operations. Risks Relating to the Company’s Business and Industry The Company’s profits will decline if the price of raw materials or energy rises and it cannot increase the price of its products, and the Company’s financial results could be adversely affected if the Company was not able to obtain sufficient quantities of raw materials. The Company uses various…

AI summary unavailable — showing raw filing excerpt

Generated from CCK's filing dated 2026-02-27

Profitability

Operating margin

12.6%

4.5%

Net margin

6.0%

66.1%

Return on equity

24.6%

60.0%

Return on assets

5.2%

68.9%

Leverage

Debt / equity

3.76×

6.6%

Long-term debt / equity

1.80×

18.1%

Debt / assets

79.0%

1.4%

Earnings tracker

QuarterRevenueYoYNet incomeYoYNet margin

Q1 2026

2026-03-31

$3.26B+12.9%$175.0M-9.3%5.4%

Q4 2025

2025-12-31

$3.13B+7.7%$150.0M+28.2%4.8%

Q3 2025

2025-09-30

$3.20B+4.2%$214.0M+224.2%6.7%

Q2 2025

2025-06-30

$3.15B+3.6%$181.0M+4.0%5.7%

Q1 2025

2025-03-31

$2.89B+3.7%$193.0M+188.1%6.7%

Q4 2024

2024-12-31

$2.90B$117.0M4.0%

Q3 2024

2024-09-30

$3.07B+0.2%$66.0M-58.5%2.1%

Q2 2024

2024-06-30

$3.04B-2.2%$174.0M+10.8%5.7%

Year-over-year change vs the same fiscal quarter one year prior. Revenue + net income sourced from SEC 10-Q / 10-K filings — no analyst-consensus dependency.

Industry trend

Metal Cans · SIC 3411

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Insider activity

Insider buying

$0

Insider selling

$20.1M

Net activity

−$20.1M

Distinct insiders

4

Open-market trades over the last 365 days.

Recent transactions

DateInsiderTypeSharesPriceValue
2026-04-15

Timothy J Donahue

President & CEO

Sale7,500$106.85$801.4K
2026-04-08

Timothy J Donahue

President & CEO

Sale7,500$105.00$787.5K
2026-02-23

Djalma Novaes JR

EVP & COO

Sale29,734$114.80$3.4M
2026-02-20

Gerard H Gifford

EVP & CAO

Sale13,373$113.97$1.5M
2026-02-18

Timothy J Donahue

President & CEO

Sale7,500$110.67$830.0K
2026-01-29

Timothy J Donahue

President & CEO

Sale7,500$105.00$787.5K

Source: SEC Form 4 filings. Officers, directors, and 10%+ owners must disclose share transactions within two business days. RSU grants and tax-withholding rows are excluded by default — compensation activity is not a trading signal.

Who owns CCK

Institutional value

$6.03B

Total shares held

65.0M

Distinct holders

416

As of

2026-03-31

Filers with $100M+ AUM disclose holdings 45 days after quarter end.

Top institutional holders

#ManagerSharesValueQoQ changeAction
1BlackRock, Inc.15.9M$1.59BNew
2VANGUARD PORTFOLIO MANAGEMENT LLC5.4M$541.5MNew
3VANGUARD CAPITAL MANAGEMENT LLC5.1M$508.8MNew
4Invesco Ltd.3.6M$362.5MNew
5FRANKLIN RESOURCES INC2.9M$291.6MNew
6Swedbank AB2.5M$254.8MNew
7DIMENSIONAL FUND ADVISORS LP2.0M$198.2MNew
8NORDEA INVESTMENT MANAGEMENT AB1.7M$164.0MNew
9JPMORGAN CHASE & CO1.6M$157.9MNew
10Bank of New York Mellon Corp1.2M$116.3MNew
11UBS Group AG967.1K$96.9MNew
12Metropolis Capital Ltd836.0K$83.8MNew
13Eurizon Capital SGR S.p.A.737.4K$73.7MNew
14VANGUARD FIDUCIARY TRUST CO696.4K$69.8MNew
15SEB Asset Management AB541.6K$54.3MNew
16JENNISON ASSOCIATES LLC489.9K$49.1MNew
17SEI INVESTMENTS CO473.3K$47.4MNew
18Russell Investments Group, Ltd.468.5K$47.0MNew
19DEUTSCHE BANK AG\459.1K$46.0MNew
20Clearbridge Investments, LLC438.0K$43.9MNew

Source: SEC Form 13F-HR. Positions aggregated across sub-managers within each firm. Options (puts/calls) excluded — common stock only.

Top questions investors are asking

Coming once CCK's latest filing finishes processing.