tiprankstipranks
Trending News
More News >
Smurfit Westrock (GB:SWR)
LSE:SWR
UK Market

Smurfit Westrock (SWR) Stock Investors

Compare
90 Followers
Based on 805,660 investor portfolios analyzed by TipRanks Open your own Smart Portfolio >

Average Holdings Size

0.9% of all portfolios hold GB:SWR
On average, investors allocate 2.14% of their portfolios to GB:SWR
The average holding size of this company in investors' portfolios.

Investor Sentiment

Very Negative
Sector
Average
Stock Sentiment
Sold
Bought
Based on the activity of 805,660 investors in the recent quarter
The overall sentiment of all investors covering this stock. Click on ‘Top Investors’ to focus on the best performers.

Portfolios Holding SWR

1.1%
Last 7
Days
4.3%
Last 30
Days
Percentages indicate the change in the number of portfolios holding GB:SWR, out of 805,660 portfolios.
The average increase or decrease in average holding size of this stock in investor portfolios in the last 7 days or last 30 days.

SWR Investor Activity

Action
Any
Any
Investor Performance
Any
Any
No data currently available
Based on the activity of investors who made their portfolios public
The table shows changes in SWR in the past 3 months by investors with public portfolios.
Investor activity updates every 24 hours.

SWR Investors Also Bought

Investor Type
Any
Any
All Investors
Name
Average Holding Size
Last 7D Change
Last 30D Change
Market Cap
Sector
3M Behavior
Follow
CVS Health
4.01%
-1.06%
-1.38%
86.64B
Healthcare
United Parcel
3.09%
-0.45%
-0.45%
85.68B
Industrials
Oneok
4.36%
-0.62%
-1.88%
50.75B
Energy
Devon Energy
3.58%
-0.52%
+0.37%
20.63B
Energy
Delta Air Lines
4.50%
-0.79%
-1.33%
32.38B
Industrials
Bristol-Myers Squibb
3.04%
+0.08%
+0.52%
94.33B
Healthcare
Wells Fargo
3.46%
-0.10%
+1.36%
258.71B
Financial
Caterpillar
3.85%
+0.39%
+1.15%
174.76B
Industrials
TJX Companies
2.52%
-0.12%
+3.83%
137.64B
Consumer Cyclical
Target
3.48%
-0.38%
-0.11%
45.09B
Consumer Defensive
Based on the activity of 805,660 active portfolios
Open your Smart Portfolio

SWR Investor Analysis

GB:SWR investors under 35

Under 35

3.1%
Last 30 days
Holdings Change
13.3%
of GB:SWR holders
are under 35
Average Segment Performance
Average P/E Ratio22.53
Beta-2.07
Dividend Yield4.06%
GB:SWR investors between 35–55

Between 35–55

3.2%
Last 30 days
Holdings Change
59.2%
of GB:SWR holders
are between 35–55
Average Segment Performance
Average P/E Ratio17.36
Beta3.39
Dividend Yield3.52%
GB:SWR investors over 55

Over 55

2.3%
Last 30 days
Holdings Change
27.6%
of GB:SWR holders
are over 55
Average Segment Performance
Average P/E Ratio15.02
Beta-2.47
Dividend Yield3.69%
Overview of age group and performance of GB:SWR stock investors
See who invests in SWR according to age group and performance.

FAQ

How many retail Investors hold GB:SWR?
0.9% of TipRanks' retail investors hold GB:SWR in their portfolios.
    What is GB:SWR Investor Sentiment?
    GB:SWR’s Investor Sentiment is Very Negative.
      What percentage of retail investors changed their holding of GB:SWR in the last 7 days?
      ▼ 1.1% of TipRanks' retail investors changed their holding of GB:SWR in the last 7 days.
        What percentage of retail investors changed their holding of GB:SWR in the last 30 days?
        ▼ 4.3% of TipRanks' retail investors changed their holding of GB:SWR in the last 30 days.
          What is the average age of retail investors who hold GB:SWR?
          The average age of GB:SWR Holders is between 35–55.
            What other stocks have GB:SWR investors also bought?
            GB:SWR Investors also bought CVS, UPS, OKE, DVN, DAL, BMY, WFC, CAT, TJX, TGT.
              Stocks with the Most Positive Individual Investor Sentiment in the Consumer Defensive sector
              What am I Missing?
              Make informed decisions based on Top Analysts' activity
              Know what industry insiders are buying
              Get actionable alerts from top Wall Street Analysts
              Find out before anyone else which stock is going to shoot up
              Get powerful stock screeners & detailed portfolio analysis