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REYN
REYN
Reynolds Consumer Products Inc
7월 27일 4:00 PM ET (한국 7/28 05:00)
$25.50
-0.11 ▼ -0.43%

레이놀즈 컨슈머 프로덕츠(REYN) is a Consumer Cyclical sector company, analyzed across 14 metrics on this page including P/E, EPS, dividends, RSI, and MACD.

시황 · 실적발표 · 매수매도 신호, 가장 먼저 받아보세요 🔔 구독
시가총액
$5.4B
스몰캡
P/E
16.3
적정 수준
배당수익률
3.59%
52주 위치
74%
저점 +25% · 고점 -7%
애널리스트
매수
C+
Fundamental health
vs. Packaging & Containers
수익성
Top 26%
성장
Top 63%
밸류에이션
Top 50%
재무 안정
Top 56%
💰 Is this stock pricier than usual right now?
Compared to this company's own recent 5년 (not other companies).
Very cheap
Cheap
Typical
Pricey
Very pricey
Simply put — what you pay today to own $1 of this company's yearly earnings is 16원. Over the past 5년, it usually traded around 18원. On the cheaper side versus its own history.
Pricy doesn't mean bad — it means expectations are already baked in.
Index -P/E 16.33EPS (ttm) 1.56Insider Own 74.16%Shs Outstand 210.7MPerf Week -2.15%
Market Cap 5.37BForward P/E 15.3EPS next Y 3.95%Insider Trans -Shs Float 54.5MPerf Month -3.08%
Enterprise Value 6.94BPEG 4.32EPS next Q 0.4Inst Own 29.58%Short Float 14.72%Perf Quarter 21.08%
Income 0.33BP/S 1.42EPS this Y -2.26%Inst Trans -4.48%Short Ratio 6.56Perf Half Y 6.03%
Sales 3.78BP/B 2.37EPS next 5Y 3.54%ROA 6.74%Short Interest 8.02MPerf YTD 11.26%
Book/sh 10.75P/C 75.7EPS past 3/5Y 5.19% -4.22%ROE 15%52W High -6.66% ($27.32)Perf Year 15.07%
Cash/sh 0.34P/FCF 16.49Sales past 3/5Y -0.85% 2.66%ROIC 8.49%52W Low 24.76% ($20.44)Perf 3Y -7.54%
Dividend Est. $0.92 (3.59%)EV/EBITDA 10.67EPS Y/Y TTM -1.89%Gross Margin 24.66%Volatility(W/M) 1.87% 2.37%Perf 5Y -12.22%
Dividend TTM 0.92EV/Sales 1.84Sales Y/Y TTM 2.75%Oper. Margin 13.62%ATR (14) 0.6Perf 10Y -
Dividend Ex-Date 2026/8/17Quick Ratio 0.76EPS Q/Q 89.01%Profit Margin 8.7%RSI (14) 50.51Recom 2.43
Dividend Gr. 3/5Y - 9.29%Current Ratio 1.79Sales Q/Q 7.21%SMA20 -2.78% ($26.23)Beta 0.54Target Price $26.43
Payout 64.31%Debt/Eq 0.72Earnings 2026/7/29SMA50 5.47% ($24.18)Rel Volume 0.81Prev Close $25.61
Employees 6000LT Debt/Eq 0.71EPS/Sales Surpr. 14.19% 6.64%SMA200 9.17% ($23.36)Avg Volume(3M) 1.22MPrice $25.5
IPO 2020/1/31Option/Short Yes/YesTrades 15142Volume 989,558Change -0.43%
Quarterly earnings trend SEC filings · USD
24.6
24.9
24.12*
25.3
25.6
25.9
25.12*
26.3
Revenue Net income 최근 분기: 매출 $877M (YoY +7%) · 순이익 $59M (YoY +90%)
* Q4 figures are derived from the annual filing (10-K) · loss-making quarters are underlined in red

📊 Reynolds Consumer Products Inc (REYN) Investment Analysis

What kind of company is Reynolds Consumer Products Inc?

레이놀즈 컨슈머 프로덕츠(REYN) 배당주
Consumer Cyclical · Packaging & Containers
#1355 by Market Cap — Mid-Cap

🥡 Reynolds Wrap aluminum foil, Hefty bags and tableware, this is a leading U.S. household consumer staples company that produces everyday products including food wraps, trash and storage bags, and disposable tableware. It supplies kitchen and household essentials for cooking, waste and storage, and disposable dining, and owns familiar brands found in most American homes. It is characterized by stable demand and steady dividends.

Learn more about Reynolds Consumer Products Inc →
Market Cap
$5.4B
Approx. KRW 7.4 trillion
⚖️ 2% of Samsung Electronics
Market Cap Rank1355
Employees6,000people
IPO2020/01/31
Current Price$25.50 ≈ 34,935원
NASD · USA

Key Events

⏰ Upcoming events
🔔 Earnings release D-1
예상 EPS $0.40
🎯 Ex-dividend date D-20
지급 8월 31일 (월)
💡 배당을 받으려면 8월 16일까지 매수하는게 좋습니다
📜 Recent events
🎯 Ex-div 2026년 5월 15일 (금)
🔔 Earnings release 2026년 5월 6일 (수) · 장 시작 전 EPS +14.2% 매출 +6.6%
🎯 Ex-div 2026년 2월 13일 (금)
🔔 Earnings release 2026년 2월 4일 (수) · 장 시작 전 EPS +0.0% 매출 +2.6%

Is it profitable?

Solid company — profitability & finances both healthy
Strong earnings and excellent financial health
Profitability — How efficiently it makes money
Operating Margin
Profit kept from selling products and services (higher is better)
13.6%
✓ 우수
My positionTop 5%
Low range Average High range
Packaging & Containers Median 8.1% · Top 3%
💡 일반적으로 10% 이상이면 양호, 20% 이상이면 우수
Net Margin
Share of revenue left after taxes and interest are paid
8.7%
✓ 우수
My positionTop 25%
Low range Average High range
Packaging & Containers Median 3.3% · Top 9%
💡 일반적으로 8% 이상이면 양호, 15% 이상이면 우수
Gross Margin
Profit after subtracting raw-material costs only (signals product competitiveness)
24.7%
✓ 우수
My positionTop 25%
Low range Average High range
Packaging & Containers Median 18.1% · Top 20%
💡 제조업 30%, IT/소프트웨어 50% 이상이면 우수 (업종별 편차 큼)
ROE
Annual return earned on shareholders' equity (15%+ is strong)
15.0%
✓ 양호
My positionMid-range
Low range Average High range
Consumer Cyclical 중형주 Median 13.6% · Top 48%
💡 일반적으로 15% 이상이면 우수 (단, 부채 레버리지 효과 주의)
ROA
Annual earnings relative to total company assets
6.7%
✓ 양호
My positionMid-range
Low range Average High range
Consumer Cyclical 중형주 Median 4.8% · Top 37%
💡 일반적으로 5% 이상이면 양호, 10% 이상이면 우수
ROIC
Return generated per dollar invested in the business
8.5%
✓ 양호
My positionMid-range
Low range Average High range
Consumer Cyclical 중형주 Median 6.8% · Top 43%
💡 자본비용(보통 8~10%)보다 높으면 가치 창출, 15% 이상이면 우수
Financial health — Debt & liquidity burden
Debt-to-Equity (D/E)
Debt relative to equity (lower is healthier)
0.72
✓ Very low debt
My positionTop 25%
Low range Average High range
Packaging & Containers Median 1.25
💡 일반적으로 1.0 이하면 건전, 1.5까지는 무난 (금융·유틸·REIT는 구조적으로 높음)
Current Ratio
Liquid assets available to cover liabilities due within a year
1.79
✓ 우수
My positionTop 25%
Low range Average High range
Packaging & Containers Median 1.41
💡 1.5~3.0 적정, 1.0 미만이면 단기 유동성 주의
Quick Ratio
Liquid assets excluding inventory, available for immediate use
0.76
✓ 평균
My positionMid-range
Low range Average High range
Packaging & Containers Median 0.87
💡 1.0 이상이면 안전, 0.5 미만이면 주의
* Ratings reflect relative position vs. peer-group distribution (same sector & size) plus absolute guards (loss & risk thresholds).

What's the outlook?

Mixed Outlook
Positive and negative signals are mixed
애널리스트 목표가
$26.43
현재가 대비 +3.6%
💡 12개월 이내 도달을 전망하는 애널리스트 컨센서스 평균
예상 PER (Forward)
15.30배
💡 내년 예상 EPS 기준. 현재 PER과 비교해 이익 성장 반영 정도 확인
PEG (성장 반영 밸류)
4.32
고평가
💡 PEG > 2 — 성장 대비 비싼 편
내년 EPS 예상 성장률
+4.0%
💡 10% 이상이면 견조한 성장, 마이너스는 이익 감소 예상
5년 EPS 예상 연평균
+3.5%
💡 장기 성장 전망. 15% 이상이면 고성장 기업
⚠ 이 데이터는 애널리스트 추정치이며 실제 결과와 다를 수 있습니다. 투자 결정은 추가 검토와 함께 하세요.

Did earnings meet expectations?

Average Earnings Performance
Slight tendency to beat estimates
1
예상 상회
1
예상 부합
0
예상 하회
50%
상회 비율
+7.3%
평균 서프라이즈
2026.05.06
상회
실적 $0.28 · 예상 $0.24 +14.5%
2026.02.04
부합
실적 $0.59 · 예상 $0.59 +0.1%
💡 예상보다 높은 실적을 자주 내는 기업은 실적 신뢰도가 높다고 평가됩니다. 단, 애널리스트 기대치가 낮게 설정되었을 수도 있으니 절대 수치도 함께 봐야 합니다.

Is it growing?

Average Growth
Mid-range within the industry
🔮 How much will it grow? (analyst forecasts)
This Year's EPS Outlook
Projected EPS growth rate for this year
-2.3%
평균
My positionMid-range
Low range Average High range
배당주 중형주 Median 4.7% · Bottom 34%
Next Year's EPS Outlook
Projected EPS growth rate for next year (analyst consensus)
+4.0%
평균
My positionMid-range
Low range Average High range
배당주 중형주 Median 8.7% · Bottom 28%
5-Year EPS CAGR Outlook
Projected average annual EPS growth over the next 5 years
+3.5%
평균
My positionMid-range
Low range Average High range
배당주 중형주 Median 5.3% · Bottom 38%
📊 How much has it grown? (actual results)
Past 3-Year EPS
Actual average annual EPS growth over the past 3 years
+5.2%
양호
My positionMid-range
Low range Average High range
배당주 중형주 Median -0.2% · Top 36%
Past 5-Year EPS
Actual average annual EPS growth over the past 5 years
-4.2%
부진
My positionBottom 25%
Low range Average High range
배당주 중형주 Median 4.1% · Bottom 21%
Past 5-Year Revenue
How much revenue grew over the past 5 years
+2.7%
부진
My positionBottom 25%
Low range Average High range
배당주 중형주 Median 8.2% · Bottom 20%
⚡ Short-term momentum
QoQ Revenue
Revenue change from the previous quarter (short-term momentum)
+7.2%
양호
My positionMid-range
Low range Average High range
배당주 중형주 Median 4.8% · Top 44%
* Forecast values are analyst consensus estimates. Ratings are determined by relative position vs. peer group of the same growth style and size.

Has the stock risen over the long term?

Long-term weakness — -81%p below the market
REYN -12.2% · S&P 500 +68.3%
Excess return vs. market (price-based, ex-dividends)
5-year basis
vs S&P 500
-80.6%p
Significantly behind the market
vs Consumer Discretionary (XLY)
-33.5%p
Significantly behind the sector average
1-year basis
vs S&P 500
-0.9%p
roughly in line with the market
vs Consumer Discretionary (XLY)
+16.5%p
ahead of the sector average
Current position within 52-week range
Low (-24.8%p) High (-6.7%p)
Current price is 24.8% above the 52-week low and 6.7% below the 52-week high
Recent risk (last 120 trading days)
Max drawdown
-17.7%
Annualized volatility
24.0%

Technical Indicators

Bollinger Bands · MACD · RSI · Stochastics · Ichimoku 5-line · recent 136-day series

Price · Bollinger Bands · Ichimoku Cloud

  • close
  • BB Upper
  • BB Mid
  • BB Lower
  • Tenkan
  • Kijun
  • Cloud (SpanA/B)

Bollinger Bands are upper and lower channels showing the closing price range (20 days · 2σ). Touching the upper band = overheated; touching the lower band = oversold. Ichimoku Cloud shows trend direction and strength through colored areas. Prices above the cloud indicate an uptrend; prices below indicate a downtrend. About Bollinger Bands →

🔴
Current diagnosis · 2026-07-27
Downtrend zone

Current price $25.50 below the midline ($26.23). Normal downward flow. Inside the Ichimoku cloud (neutral).

MACD (12 · 26 · 9) Expand ▼

An indicator that uses the difference between the short-term EMA (12) and long-term EMA (26) to identify trend reversals. When MACD rises above the Signal line, it is a buy signal (golden cross); when it falls below, it is a sell signal (death cross). About MACD →

🟡
Current diagnosis · 2026-07-27
Neutral zone — weak trend

MACD 0.332 · Signal 0.580 · Hist -0.248. Weak directional bias.

RSI(14) · Stochastics %K(14) Expand ▼

RSI measures short-term buying and selling pressure on a scale of 0–100. 30 or below = oversold (a rebound may be possible); 70 or above = overbought (a pullback may be possible). Stoch %K similarly measures short-term momentum strength. RSI · Learn more about Stochastics →

🟢
Current diagnosis · 2026-07-27
Bullish zone

RSI 50.5 (above the neutral level of 50). Buying pressure leads, supporting a steady rise. Stoch %K is also 21.6.

※ "Current diagnosis" is an automated interpretation based on standard thresholds and is for reference only. Make your own comprehensive judgment before trading.

Is it attractive at this price?

In line with the industry average
Cheap on Vs. Earnings·Vs. Cash Flow, Pricey on Vs. Sales, In line with peers on Vs. Assets
💡 How to read this — Compare against peers in the same industry to see what the price is cheap or expensive relative to. Example: cheap vs. earnings = stock price is low relative to what the company earns; expensive vs. assets = stock price is high relative to assets on the balance sheet.
💵 Vs. Earnings Cheap
🏢 Vs. Assets Mid-range
🧾 Vs. Sales Pricey
💧 Vs. Cash Flow Cheap
💵 Vs. Earnings
PER Price-to-Earnings Ratio
How expensive the price is vs. earnings — lower is cheaper
16.33x
✓ Very cheap
My positionTop 25%
Low range Average High range
Packaging & Containers median 18.50x · Top 24% — relatively cheap within the industry
💡 PER 15 이하 저평가, 25 이상이면 성장성 검증 필요 (적자 기업은 의미 없음)
💵 Vs. Earnings
Forward PER Forward Price-to-Earnings Ratio
PER using next year's estimated earnings — reflects growth
15.30x
✓ Fair
My positionMid-range
Low range Average High range
Packaging & Containers median 14.49x · Around the industry average
💡 향후 12개월 예상 EPS 기준 PER. 현재 PER보다 낮으면 이익 성장 중
🏢 Vs. Assets
PBR Price-to-Book Ratio
Price vs. the company's asset value — below 1 trades cheaper than assets
2.37x
✓ Fair
My positionMid-range
Low range Average High range
Packaging & Containers median 1.61x · Around the industry average
💡 PBR 1 미만이면 청산가치 이하 (금융·제조업에서 특히 의미, IT는 낮은 비중)
🧾 Vs. Sales
PSR Price-to-Sales Ratio
Market cap vs. revenue — lower is cheaper relative to sales
1.42x
✓ Pricey
My positionBottom 25%
Low range Average High range
Packaging & Containers median 0.96x · Bottom 25% — expensive within the industry
💡 PSR 2 이하 저평가, 10 초과면 고평가 (고성장 기업일 때만 정당화)
💧 Vs. Cash Flow
EV/EBITDA Enterprise Value Multiple
Total enterprise value ÷ operating cash earnings — a benchmark for M&A
10.67x
✓ Cheap
My positionMid-range
Low range Average High range
Packaging & Containers median 10.78x · Around the industry average
💡 EV/EBITDA 10 이하 저평가, 20 이상이면 고평가 (M&A 밸류 기준)
💧 Vs. Cash Flow
P/FCF Price-to-Free-Cash-Flow Ratio
Price vs. actual cash generation — lower means more efficient
16.49x
✓ Cheap
My positionMid-range
Low range Average High range
Packaging & Containers median 23.96x · Around the industry average
💡 P/FCF 20 이하면 현금창출 대비 저평가 (실질 수익성 기준)
Analyst target price (reference)
$26.43 vs. current price +3.6%
* Valuation is the stock's relative position within the industry peer group (same sector and market-cap range). Even when valuation looks attractive, check the 'Profitability' and 'Growth' sections too.
As of: Recent snapshot · Peer group: Packaging & Containers

Who owns it?

Ownership backdrop is unfavorable
Institutional net selling -4.5% · Short interest elevated 14.7% · Short interest up +4.3pp over last 90d
📈 Recent trading flow (6 months)
🧑‍💼 Insiders (executives & directors)
0.0%
Insiders little change
🏦 Institutions (funds & investors)
-4.5%
Institutions net selling
💡 Net change over the past 6 months. Shows how much insiders and institutions increased or reduced their holdings, in %.
👥 Holdings composition
🏦 Institutions 29.6%
Moderate institutional participation
Consumer Cyclical 중형주 Median 96.5%
🧑‍💼 Insiders 74.2%
Founder/management large holders (strong skin-in-the-game)
Consumer Cyclical 중형주 Median 4.2%
👤 Retail investors (estimated) 0.0%
Everyone excluding institutions and insiders
Institutions Insiders Retail (est.)
📉 Short-selling metrics
Short ratio
14.7%
Somewhat high
Consumer Cyclical 중형주 Median 9.0%
Past 90 days 📈 +4.3%p increase
Short interest days to cover
6.6 days
Days needed to close short positions using average trading volume
🧮 Share count
Total shares outstanding 210.7M주
Float (tradable shares) 54.5M주
* Insider/institutional flows are based on net changes over the past 6 months. Trend is cumulative over the past 90 days.

ETFs holding REYN

* Based on official quarterly filings. Latest disclosure; actual current weights may differ.

How much does it pay in dividends?

배당주 — 연 3.59% 배당
5년 배당 성장률 9.29%
Dividend Yield
3.59%
Industry average 2.19%
Dividend Per Share
$0.92
Annualized
Payout Ratio
64%
Share of net income paid as dividends
5-Year Growth
9.3%
Annualized dividend growth
📅 지급월 2월 · 8월 · 11월
📊 총 이력 2020~2026 (24건)
연도별 배당 총액 추이
주당 배당금을 연 단위로 합산한 금액입니다. 막대가 우상향이면 매년 배당이 늘어나고 있다는 뜻입니다.
$0.59
2020
$0.92 +55.9%
2021
$0.92 +0.0%
2022
$0.92 +0.0%
2023
$0.92 +0.0%
2024
$0.92 +0.0%
2025
$X.XX 그 해 총 배당금 +X% 전년 대비 증가 -X% 감소
최근 배당 이력 총 24건
아래로 스크롤하면 과거 배당 이력을 볼 수 있습니다.
배당락일
주당 금액
지급일
당시 수익률
2026-02-13
$0.230
4.85%
2025-11-14
$0.230
4.75%
2025-08-15
$0.230
5.09%
2025-05-16
$0.230
4.98%
2025-02-14
$0.230
3.84%
2024-11-15
$0.230
3.38%
2024-08-16
$0.230
3.05%
2024-05-16
$0.230
3.17%
2024-02-14
$0.230
3.25%
2023-11-15
$0.230
4.28%
2023-08-16
$0.230
4.09%
2023-05-16
$0.230
4.12%
2023-02-13
$0.230
3.26%
2022-11-15
$0.230
3.71%
2022-08-16
$0.230
3.98%
2022-05-16
$0.230
3.24%
2022-02-11
$0.230
3.98%
2021-11-15
$0.230
3.07%
2021-08-16
$0.230
3.09%
2021-05-12
$0.230
2.93%
2021-02-22
$0.230
2.79%
2020-11-13
$0.220
1.99%
2020-08-13
$0.220
1.12%
2020-03-13
$0.150
0.58%
* "배당락일"은 배당받으려면 이 날 이전에 주식을 보유해야 하는 기준일입니다. 지급일·당시 수익률은 일부 종목에서 데이터가 없을 수 있습니다.
💰 내가 100만원 투자한다면
연간 배당금 (세후) 3.1만원
5년 누적 (세후) 18.5만원
* 환율 1,370원, 세금 15% 반영. 5년 누적은 배당 성장률 연 9.29% 가정.

Compare Industry Peers

💡 vs. sector average ▲ Favorable / ▼ Unfavorable (Lower PER and PBR are better; higher ROE and dividend yield are better)
Sorted by market cap, largest first
StockMarket CapPERPBRROEDividend YieldChange
REYN REYN This Stock
$5.4B16.3 2.4 15% 3.59% -0.4%
AMZN
$2.49T27.6 5.6 24.28% - -0.3%
TSLA
$1.22T287.3 14.1 4.64% - -1.2%
HD
$335.1B23.9 24.1 128.38% 2.76% +0.9%
BABA
$275.7B18.6 1.7 10.16% 0.9% +2.5%
TM
$193.8B9.3 0.9 10.39% 3.56% +2.7%
Sector Avg-21.01.85.62%2.19%-
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FAQ

What kind of company is 레이놀즈 컨슈머 프로덕츠(REYN)?

레이놀즈 컨슈머 프로덕츠(REYN) belongs to the Consumer Cyclical sector and operates in the Packaging & Containers industry.

What is the market cap of REYN?

The market cap of REYN is approximately $5.4B, ranking 1,355 within its sector.

Does REYN pay dividends?

REYN has a dividend yield of approximately 3.59%, with an annual dividend of $0.92.

What is the P/E ratio of REYN?

REYN has a P/E ratio of approximately 16.3x, which can be used to assess its valuation relative to the Consumer Cyclical sector average.

What is the 52-week high and low for REYN?

REYN has recorded a 52-week high of $27.32 and a low of $20.44.

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