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Crown Holdings, Inc. · CCK · NYSE
Tenet 50 · Mixed
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$106.17−0.02 (−0.02%)
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Crown Holdings, Inc. · Statistics

Cheap or expensive, strong or fragile. Every ratio ranked against its sector peers — the number we score — with its own ten-year record shown beside it for context.

74
VALUE
Cheap vs sector
discount to its peers
63
QUALITY
Decent
mid-pack profitability
22
HEALTH
Fragile
leverage needs watching
42
GROWTH
Fair
steady, not spectacular

A decent business at a cheap price for its sector: value 74, quality 63, health 22, growth 42, each a percentile within Industrials.

On October 2, 2026 the Tenet Score and these statistics moved from the latest fiscal year to the trailing twelve months, for companies that file quarterly statements. Scores before October 2, 2026 were computed on fiscal-year figures.
Values are the trailing twelve months where a company files quarterly statements and the figure passes our check against the filings, with balance-sheet ratios from the most recent quarter; otherwise, or where a sector's figure is still under review, the latest fiscal year. Piotroski and the five-year growth rates are fiscal years. Each row names its period.track = where peers land, worse → better (direction-adjusted: right always means better)▏sector median● you are here▲ where today's value sits in the company's own ten fiscal years (context, not scored)hover any metric for its formula
74th pctilediscount to its peers
Earnings yield (EBIT/EV)EBIT (operating income) for the latest fiscal year ÷ enterprise value on the current market cap (Greenblatt). The vendor's own earnings yield is net income to common ÷ market cap, a different figure.9.0%84th pctileFiscal 2025 EBIT ÷ enterprise value at the close of Oct 1, 2026Fiscal 2025: held in Industrials pending the TTM check
P/E14.782nd pctilePrice at the close of Oct 1, 2026 ÷ the vendor's trailing-twelve-month EPSLatest fiscal year: quarterly income to common shareholders is not on file
P/B4.040th pctileMarket cap at the close of Oct 1, 2026 ÷ book equity at Jun 30, 2026 (most recent quarter)
P/FCF10.685th pctileMarket cap at fiscal year end (Dec 31, 2025), $11.8B ÷ fiscal 2025 free cash flowFiscal 2025: held in Industrials pending the TTM check
EV / EBITDA8.680th pctileEnterprise value at the close of Oct 1, 2026 ÷ fiscal 2025 EBITDAFiscal 2025: held in Industrials pending the TTM check
22nd pctileleverage needs watching
Current ratio1.0518th pctileMost recent quarter, Jun 30, 2026
Quick ratioMost recent quarter: (Cash, short-term investments and receivables) ÷ current liabilities on the most recent quarter's balance sheet, as the data vendor builds it for that quarter. Its receivables include non-trade receivables, which Tenet's balance sheet shows inside other current assets.0.5818th pctileMost recent quarter, Jun 30, 2026
Net debt / EBITDATotal debt less cash and short-term investments, over EBITDA (operating income plus depreciation and amortisation) from the filed statements. Long-term investments are not counted as cash. For some companies they include marketable securities held for more than a year.2.6×31st pctileTenet-derived Total debt less cash and short-term investments, over EBITDA (operating income plus depreciation and amortisation) from the filed statements. Long-term investments are not counted as cash. For some companies they include marketable securities held for more than a year. Computed by Tenet from the filed statements (formula house-nde.v1), because the data vendor published no value for this year.Fiscal 2025 (Dec 31, 2025)Fiscal 2025: held in Industrials pending the TTM check
Interest coverage3.8×31st pctileFiscal 2025 (Dec 31, 2025)Fiscal 2025: held in Industrials pending the TTM check
Debt / equity1.8012th pctileMost recent quarter, Jun 30, 2026
63rd pctilemid-pack profitability
ROIC13%68th pctileown record too shortTTM through Jun 30, 2026
ROE27%81st pctileTTM through Jun 30, 2026
Gross margin22.0%22nd pctileFiscal 2025 (Dec 31, 2025)Fiscal 2025: held in Industrials pending the TTM check
Net margin7.0%49th pctileTTM through Jun 30, 2026
Income quality (CFO/NI)1.87×66th pctileTTM through Jun 30, 2026
Piotroski F8 / 990th pctileown record too shortFiscal 2025 (Dec 31, 2025)
Altman ZAltman's bankruptcy-distance score for the latest fiscal year, with its market-value term at the fiscal year end; higher is safer, as the data vendor publishes it (vendor definition, not reproduced).—excluded: no value on file for this company
42nd pctilesteady, not spectacular
Revenue CAGR 5yThe yearly rate that compounds the oldest fiscal year's revenue into the latest one, over the true number of fiscal years between them (up to five).+5.7%30th pctileFiscal 2020 to fiscal 2025, 5 years: revenue $9.4B to $12.4B
EPS CAGR 5y+8.2%42nd pctileFiscal 2020 to fiscal 2025, 5 years: 4.30 to 6.38 per share
FCF margin9.0%56th pctileFiscal 2025 (Dec 31, 2025)Fiscal 2025: held in Industrials pending the TTM check
the receipts behind the numbers above
Greenblatt earnings yield9.0%EBIT ÷ EV The vendor's "earningsYield" is NI ÷ market cap, which is not Greenblatt's formula.
ROIC13%NOPAT ÷ invested capital The vendor's simple ROIC, not its tiny-base roic tag; withheld when a negative EBIT flips its sign.
Interest coverage3.8× EBIT ÷ interest expense, ranked within sector peers.
Percentiles computed nightly against 495 Industrials peers from our ingested fundamentals DB · raw statements for corrected metrics. Direction-adjusted: for "lower is better" ratios (P/E, D/E…) the percentile is flipped so right always means better. The percentile is the stock's rank among sector peers, the number that is scored. The triangle marks where the current value (the trailing twelve months or the latest fiscal year, as its row names) sits in the company's own ten fiscal-year record, shown for context and never blended into the score. Computed 2026-10-02 · Not investment advice.
Methodology© 2026 Tenet Investing Inc. · Toronto, Canada

Data from Intrinio and Financial Modeling Prep.