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Reynolds Consumer Products (REYN) Stock Fundamentals, Analysis & Risk Signals

Health score, price, valuation, risk signals, and key metrics at a glance.

Reynolds Consumer Products
NasdaqGS•Consumer Cyclical•Packaging & Containers
$22.43+0.49(0.02%)Pre-market
Market Cap
$4.66B
P/E
13.5x
P/S
1.2x
P/B
2.0x

Reynolds Consumer Products Inc. produces and sells products in cooking, serving, cleanup, and storage, and tableware product categories in the United States and internationally. The company operates through four segments: Reynolds Cooking & Baking, Hefty Waste & Storage, Hefty Tableware, and Presto Products. The Reynolds Cooking & Baking segment produces aluminum foil, disposable aluminum pans, parchment paper, freezer paper, wax paper, butcher paper, plastic wrap, baking cups, oven bags, and slow cooker liners under the Reynolds Wrap, Reynolds Kitchens, and EZ Foil brands in the United States, as well as under the ALCAN brand in Canada and under the Diamond brand internationally. The Hefty Waste & Storage segment offers trash and food storage bags under the Hefty Ultra Strong and Hefty Strong brands; and food storage bags under the Hefty brands. It also provides a suite of products, including compostable bags, bags made from recycled materials. The Hefty Tableware segment offers disposable and compostable plates, bowls, platters, containers, cups, and cutlery under the Hefty brand, as well as dishes and party cups. The Presto Products segment primarily sells store brand products in food storage bags, trash bags, and plastic wrap categories. It offers both branded and store brand products to grocery stores, mass merchants, warehouse clubs, discount chains, dollar stores, drug stores, home improvement stores, military outlets, and eCommerce retailers. Reynolds Consumer Products Inc. was founded in 1947 and is headquartered in Lake Forest, Illinois. Reynolds Consumer Products Inc. is a subsidiary of Packaging Finance Limited.

B

How this company scores

GoodMetricSide Score: 75/100

Strongest: Profitability (21/25); weakest: Growth (16/25).

Profitability21/25
Growth16/25
Balance Sheet & Red Flags19/25
Cash & Earnings Quality19/25
Strengths
Consistent free cash flowProfit converts from growthImproving leverageConsistent growth

Valuation vs. 5-year range

Today's multiple positioned against its own trailing range — a visual premium/discount check.

P/E · 13.5x5y range 13.4x – 25.6x
P/E 13.5x · below its 20-quarter median

Currently below its 20-quarter median.

P/S · 1.2x5y range 1.2x – 1.9x
P/S 1.2x · near its 20-quarter median

Currently near its 20-quarter median.

P/B · 2.0x5y range 2.0x – 3.7x

Watch items

Data-driven signals worth keeping an eye on across the last 8 quarters

High Risk

Earnings Quality

Red Flag

FCF consistently trails net income (avg 0.8x) — earnings may be inflated by non-cash items or aggressive accounting.

Price & Volume
Market Cap $4.66B

Metrics at a Glance

as of June 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$3.79B
5Q
Q. Revenue
$944.00M
1%
TTM EBITDA
$669.00M
2Q
TTM Op. Income
$534.00M
2Q
Q. Op. Income
$138.00M
17%
TTM Net Income
$345.00M
2Q
Q. Net Income
$89.00M
22%
EPS
$0.42
20%
Shares Out.
$210.60M
0%
$3.79B in TTM revenue grew 2.7% YoY, reaching $944.00M last quarter. TTM EBITDA of $669.00M and TTM operating income of $534.00M show growth is flowing through to the bottom line. TTM net income of $345.00M means revenue is converting into profit. Across the last 8 quarters, TTM revenue has risen for 5 consecutive quarters — an improving trend.

Margins

Gross, EBITDA, operating, and net margin trends

Gross Margin
26.0%
8%
EBITDA Margin
18.0%
12%
Op. Margin
14.6%
16%
Net Margin
9.4%
21%
Op. margin of 14.6% is up 2.0% YoY — cost efficiency is improving. Net margin at 9.4% and gross margin of 26.0% show how much of each revenue dollar survives to profit. Over the past year, operating margin is up 16% — an improving trend.

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
13.5x
7%
P/S Ratio
1.2x
1%
P/B Ratio
2.0x
4%
At 13.5x P/E, the stock trades below typical market levels. P/S of 1.2x and P/B of 2.0x provide additional context. Use the growth and margin sections to judge whether the multiple is justified. Over the past year, P/E is down 7% — a weakening trend.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$5.08B
4%
Cash
$66.00M
2Q
Long-Term Debt
$1.53B
5%
Book Value
$2.31B
5Q
D/E Ratio
0.7
7Q
Debt/EBITDA
9.0
16%
With $5.08B in assets and $1.53B in long-term debt, D/E is 0.7and book value is $2.31B — a conservative capital structure with a cushion to weather downturns. Across the last 8 quarters, debt/equity has fallen for 7 consecutive quarters — an improving trend.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$102.00M
12%
TTM Free Cash Flow
$320.00M
6%
FCF Margin
8.5%
3%
FCF / Net Income
0.9
2Q
TTM FCF of $320.00M on $102.00M in operating cash flow. The FCF / Net Income ratio of 0.9x means free cash flow covers net income — earnings are backed by cash. Over the past year, free cash flow is up 6% — a weakening trend.

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· below its 20-quarter median

Currently below its 20-quarter median.