AptarGroup
NYSE:ATR
$ 126,02
+ $2,66 (2,16%)
126,02 $
+$2,66 (2,16%)
End-of-day quote: 03/31/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$5,74
Earnings Per Share
$58,67
Revenue Per Share
37,19%
Gross Margin %
$8,04 B
Market Cap
$0,67 B
Long-Term Debt
Earnings Per Share
$5,74
Revenue Per Share
$58,67
Gross Margin %
37,19%
Market Cap
$8,04 B
Long-Term Debt
$0,67 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $5,74 $5,64 $4,78 $3,79 $3,88 $3,64 $3,95 $4,00 $3,44 $3,13 $3,00 $2,85 $2,79 $2,48 $2,65 $2,49 $1,86 $2,18 $1,95 $1,42
Earnings Earnings $369,54M $375,06M $315,58M $247,87M $254,37M $237,18M $253,00M $251,72M $213,66M $195,09M $188,52M $177,64M $182,83M $164,20M $175,27M $166,88M $126,20M $147,80M $133,20M $98,51M
RPS Revenue Per Share $58,67 $53,88 $52,82 $50,80 $49,23 $44,96 $44,65 $43,93 $39,76 $37,40 $36,87 $41,68 $38,46 $35,21 $35,34 $30,99 $27,14 $30,56 $27,70 $23,08
Revenue Revenue $3,78B $3,58B $3,49B $3,32B $3,23B $2,93B $2,86B $2,76B $2,47B $2,33B $2,32B $2,60B $2,52B $2,33B $2,34B $2,08B $1,84B $2,07B $1,89B $1,60B
OCF Operating Cash Flow $570,00M $643,41M $575,24M $478,62M $363,44M $570,15M $514,46M $313,63M $324,73M $327,19M $324,52M $314,55M $285,44M $313,89M $261,04M $261,72M $293,59M $0,00M $0,00M $197,46M
FCF Free Cash Flow $394,93M $366,93M $232,00M $168,19M $57,51M $324,20M $272,18M $102,38M $168,11M $198,21M $175,19M $152,61M $133,93M $139,84M $81,35M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 13,64% 14,27% 12,93% 11,33% 11,42% 12,59% 13,71% 12,66% 13,19% 13,56% 13,67% 11,80% 11,87% 11,72% 12,28% 12,91% 11,18% 11,30% 11,33% 10,22%
GM % Gross Margin % 37,19% 37,83% 36,23% 35,03% 35,84% 37,07% 36,35% 34,43% 35,08% 35,81% 34,83% 32,43% 32,19% 31,94% 32,90% 33,61% 33,45% 31,88% 32,24% 32,30%
FCFS Free Cash Flow Per Share $4,48 $5,26 $3,91 $2,49 $0,85 $4,94 $4,21 $1,63 $2,69 $3,09 $2,79 $2,37 $2,03 $2,11 $1,22 $2,37 $1,99 $0,96 $1,95 $1,22
LT Debt Long-Term Debt $1,12B $667,88M $658,30M $1,03B $880,58M $1,03B $1,06B $1,12B $1,19B $772,74M $760,85M $588,89M $354,81M $352,86M $254,91M $258,77M $209,62M $226,89M $146,71M $168,88M
Sha. Stocks 64,38M 66,5M 66,02M 65,4M 65,56M 65,16M 64,05M 62,93M 62,11M 62,33M 62,84M 62,33M 65,53M 66,21M 66,14M 67,02M 67,85M 67,8M 68,31M 69,37M
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