Snowball logo
logo
VIR_logo

Vidrala S.A

86.50-0.30  (0.35%)
Estimate
P/E
13.9
EPS
6.24
Beta
0.811
Dividends
Dividend yield
1.08%
Annual payout
0.94
Next ex. div date
January 13, 27
Payout
24.76%
Div.growth, 5y
11.13%
Dividend growth streak
1 year
Div.rating
About the company
Ticker
VIR
ISIN
ES0183746314
Country
Spain
Sector (GICS)
Materials
Vidrala, S.A. engages in the manufacture and sale of glass containers for food and beverage products in the United Kingdom, Ireland, Italy, Iberian Peninsula, rest of Europe, and Brazil. It offers glass bottles for oils and vinegar, beers, preserve food, sparkling wine and cider, spirits, wines, and juices, as well as for non-alcoholic beverages. The company also provides packaging services, such as logistics and filling solutions. Vidrala, S.A. was founded in 1965 and is headquartered in Laudio/Llodio, Spain.

Frequently asked questions

What sector does Vidrala S.A (VIR) operate in?

Vidrala S.A belongs to the Materials sector and operates in the Packaging & Containers industry.

What is Vidrala S.A (VIR) current stock price?

As of the latest data, Vidrala S.A stock price is €86.50, with a previous close of €86.80. Vidrala S.A lost -€0.30 in the last trading session, representing a -0.35% loss.

What is Vidrala S.A (VIR) current market capitalization?

Vidrala S.A market cap is approximately 2.97 billion.

What is Vidrala S.A (VIR) Earnings Per Share (EPS)?

The trailing EPS is €6.24.

What is Vidrala S.A (VIR) Price-to-Earnings (P/E) ratio?

Vidrala S.A current P/E ratio is 13.86.

Does Vidrala S.A (VIR) pay dividends?

Yes. Vidrala S.A pays semiannual dividends with an annualized yield of 1.08% and an estimated annual payout of €0.94 per share.

When is the next ex-dividend date for Vidrala S.A (VIR)?

The next ex-dividend date is scheduled for January 13, 2027.

When is Vidrala S.A (VIR) next earnings report?

Vidrala S.A is expected to release its next earnings report on June 30, 2026.

What is Vidrala S.A (VIR) beta (volatility) score?

Vidrala S.A has a beta of 0.811, meaning its volatility is roughly in line with the market.