How Does Sealed Air Stock Compare With Peers?

SEE: Sealed Air logo
SEE
Sealed Air

Sealed Air’s stock has notably outperformed peers over the past year. But how does it truly stack up against packaging and materials companies navigating shifting market demands like sustainability and digitalization? A closer look reveals robust profitability and strong free cash flow generation, but stagnant revenue growth. Its moderate valuation suggests support, though sustained outperformance may hinge on accelerating top-line expansion in a competitive landscape.

  • SEE’s 15.1% operating margin, highest among peers, reflects strong pricing power from proprietary tech and value-added solutions in food/protective packaging.
  • SEE’s -1.2% revenue growth, lagging peers, stems from Protective segment weakness and e-commerce shifts, yet it outpaces DOW’s broader chemical declines.
  • SEE’s 22.1% stock gain, outpacing peers, reflects investor confidence in ongoing cost-cutting and projected margin expansion, with its PE at 13.8.

Here’s how Sealed Air stacks up across size, valuation, and profitability versus key peers.

  SEE IP DOW AVY SLGN SW
Market Cap ($ Bil) 6.3 19.8 16.4 13.7 4.1 18.3
Revenue ($ Bil) 5.3 25.6 40.9 8.8 6.4 31.1
PE Ratio 13.8 -15.5 -14.5 19.8 13.0 24.5
LTM Revenue Growth -1.2% 42.7% -5.3% 1.0% 11.1% 89.5%
LTM Operating Margin 15.1% -0.0% 1.2% 12.8% 10.0% 7.0%
LTM FCF Margin 7.2% -1.1% -2.7% 7.4% 1.0% 2.6%
12M Market Return 22.1% -31.2% -44.7% -11.3% -29.1% -28.9%

For more details on Sealed Air, read Buy or Sell SEE Stock. Nevertheless, ask yourself – Is holding SEE stock risky? Of course it is. High Quality Portfolio mitigates that risk.

Revenue Growth Comparison

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  LTM 2024 2023 2022
SEE -1.2% -1.8% -2.7% 2.0%
IP 42.7% -1.6% -10.6% 9.3%
DOW -5.3% -3.7% -21.6% 3.5%
AVY 1.0% 4.7% -7.5% 7.5%
SLGN 11.1% -2.2% -6.6% 12.9%
SW 89.5% 74.6% -10.5% 18.1%

Operating Margin Comparison

  LTM 2024 2023 2022
SEE 15.1% 15.0% 14.9% 16.8%
IP -0.0% 2.6% 4.0% 8.3%
DOW 1.2% 4.4% 4.7% 10.0%
AVY 12.8% 12.7% 11.5% 11.9%
SLGN 10.0% 9.8% 10.1% 10.5%
SW 7.0% 6.6% 12.0% 12.8%

PE Ratio Comparison

  LTM 2024 2023 2022
SEE 13.8 18.6 15.4 14.8
IP -15.5 33.5 43.5 8.4
DOW -14.5 25.3 65.7 7.9
AVY 19.8 21.3 32.4 19.5
SLGN 13.0 20.1 15.1 16.8
SW 24.5 65.2

While peer comparison is critical, the Trefis High Quality (HQ) Portfolio, with a collection of 30 stocks, has a track record of comfortably outperforming its benchmark that includes all 3 — the S&P 500, S&P mid-cap, and Russell 2000 indices. Why is that? As a group, HQ Portfolio stocks provided better returns with less risk versus the benchmark index; less of a roller-coaster ride, as evident in HQ Portfolio performance metrics.