Smurfit Westrock plc
SW Real Time Price USDRecent trades of SW by members of U.S. Congress
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Recently reported changes in SW holdings by institutional investors
Quarterly net insider trading by SW's directors and management
* Insider trading data parsed from SEC Form 4 filings by Quiver Quantitative. Sign up for the Quiver API for real-time access.
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- 6M
- YTD
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- 5Y
- MAX
About
Key Metrics
Return (1d)
Return (30d)
Return (1Y)
CAGR (Total)
Max Drawdown
Beta
Alpha
Sharpe Ratio
Win Rate
Average Win
Average Loss
Annual Volatility
Annual Std Dev
Information Ratio
Treynor Ratio
Total Trades
Metrics Definitions
Disclaimer: The performance results shown are based on historical backtesting and are hypothetical in nature. Backtested performance does not represent actual trading and does not account for all market factors that may affect execution, such as liquidity, slippage, and changing market conditions. Past performance is not necessarily indicative of future results. There is no guarantee that any trading strategy will be profitable or avoid losses.
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Alpha
Measures a portfolio's risk-adjusted performance against that of its benchmark
Learn More about Alpha -
Annual Standard Deviation
Measures how much the portfolio's total return varies from its mean or average.
Learn More about Annual Standard Deviation -
Annual Volatility
A statistical measure of the dispersion of returns for the portfolio.
Learn More about Annual Volatility -
Average Win
The average return (%) for trades that resulted in a positive return.
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Average Loss
The average return (%) for trades that resulted in a negative return.
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Beta
A measure of the volatility of the portfolio compared to the market as a whole.
Learn More about Beta -
CAGR
CAGR (Compounded Annual Growth Rate), is the historical annualized rate of return for an investment strategy, throughout the backtest period.
Learn More about CAGR -
Information Ratio
A measurement of portfolio returns beyond the returns of its benchmark compared to the volatility of those returns.
Learn More about Information Ratio -
Max Drawdown
the maximum observed loss from a peak to a trough of a portfolio, before a new peak is attained.
Learn More about Max Drawdown -
Sharpe Ratio
The Sharpe Ratio is a measure of historical risk-adjusted return, which quantifies the amount of return that an investor received per unit of risk.
Learn More about Sharpe Ratio -
Total Trades
The total number of trades made by this strategy.
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Treynor Ratio
Attempts to measure how successful an investment is in providing compensation to investors for taking on investment risk.
Learn More about Treynor Ratio -
Win Rate
The percentage of total trades that resulted in a positive return.
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Government lobbying spending instances
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$55,576 Jan 14, 2026 Issue: Energy/Nuclear Environment/Superfund Taxation/Internal Revenue Code Budget/Appropriations
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$55,659 Oct 09, 2025 Issue: Energy/Nuclear Environment/Superfund Taxation/Internal Revenue Code Budget/Appropriations
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$62,561 Jul 14, 2025 Issue: Energy/Nuclear Environment/Superfund Taxation/Internal Revenue Code Budget/Appropriations
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$59,151 Apr 16, 2025 Issue: Energy/Nuclear Environment/Superfund Taxation/Internal Revenue Code Budget/Appropriations
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$55,598 Jan 14, 2025 Issue: Energy/Nuclear Environment/Superfund Taxation/Internal Revenue Code Budget/Appropriations
SW Estimated quarterly lobbying spending
SW Revenue by Segment or Geography
New SW patent grants
Federal grants, loans, and purchases
Estimated quarterly amount awarded to SW from public contracts
Recent insights relating to SW
Recent picks made for SW stock on CNBC
ETFs with the largest estimated holdings in SW
- ... Highest Price Target
- ... Median Price Target
- ... Lowest Price Target
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Analyst
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Current
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Previous
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- Is $SW stock a Buy, Sell, or Hold?
- What is the price target for $SW stock?
* Analyst consensus is not financial advice. Please see our data disclaimers .
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Shareholder
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Shares Held
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- Who owns $SW stock?
- Who owns the most shares of $SW stock?
- What funds own $SW stock?
* These are estimates based on data taken from SEC filings. There may be inaccuracies due to parsing errors, accidental double-counting, incorrect classification of indirectly owned shares, or any other number of issues.
The Quiver Smart Score combines our data on Congress Trading, Lobbying, Insider Trading, CNBC Mentions and more to provide a comprehensive view of the strength of a stock's underlying data.
The Smart Score grades stocks on a scale of 1 (weakest) to 10 (strongest) based on the strength of the underlying data.Sign Up to view SW Smart Score
See concise summaries of analyst reports, presenting both bullish and bearish arguments for a stock.
Example:
The Bulls Say summary highlights positive aspects of the stock.
The Bears Say summary points out potential risks and negative aspects of the stock.
Smurfit WestRock PLC manufactures corrugated packaging and consumer packaging, such as folding cartons and paperboard. operates a vertically integrated system supplying wood and recovered fiber to produce various grades of board, which are then converted into packaging products. Its main packaging categories include corrugated containers and consumer packaging, with additional products such as solidboard, kraft paper, graphic board, paper sacks, and bag-in-box packaging. The company's geographical segments include North America (including the U.S., Canada and Mexico), Europe, the Middle East and Africa and Asia-Pacific, and Latin America. The majority of the company's revenue is derived from product sales in the North American region.
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