O-I Glass

ISIN US67098H1041

 | 

WKN A2PXK0

Market cap (in EUR)
1,826 m
Country
United States
Sector
Non-Energy Materials
Dividend yield
0.00%
 

Overview

Quote

Description

O-I Glass, Inc. engages in the manufacturing of glass products. It offers products to the food and beverage sectors. It operates through the Americas and Europe geographical segments. The company was founded in 1929 and is headquartered in Perrysburg, OH.
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Non-Energy Materials Manufactured Products Containers and Packaging United States

Chart

Financials

Key metrics

Market capitalisation, EUR 1,826 m
EPS, EUR -0.86
P/B ratio 1.6
P/E ratio 21.4
Dividend yield 0.00%

Income statement (2024)

Revenue, EUR 6,038 m
Net income, EUR -98 m
Profit margin -1.62%

What ETF is O-I Glass in?

There are 6 ETFs which contain O-I Glass. All of these ETFs are listed in the table below. The ETF with the largest weighting of O-I Glass is the iShares S&P SmallCap 600 UCITS ETF.
ETF Weight Investment focus Fund size (in m EUR)
Amundi MSCI Millennials UCITS ETF Acc 0.03%
Equity
World
Social/Environmental
Millennials
32
iShares S&P SmallCap 600 UCITS ETF 0.12%
Equity
United States
Small Cap
1,745
Vanguard ESG Global All Cap UCITS ETF (USD) Distributing 0.00%
Equity
World
Social/Environmental
483
Vanguard ESG North America All Cap UCITS ETF (USD) Distributing 0.00%
Equity
North America
Social/Environmental
27
L&G Russell 2000 US Small Cap Quality UCITS ETF 0.07%
Equity
United States
Small Cap
172
JPMorgan BetaBuilders US Small Cap Equity UCITS ETF USD (dist) 0.03%
Equity
United States
Small Cap
176

Performance

Returns overview

YTD +25.64%
1 month +5.11%
3 months +13.82%
6 months +6.47%
1 year +9.78%
3 years -20.32%
5 years -
Since inception (MAX) +1.98%
2024 -34.68%
2023 -4.14%
2022 -
2021 -

Monthly returns in a heat map

Risk

Risk metrics in this section:
 
  • Volatility, annualised, measured for 1, 3 and 5 year periods. The annualised volatility reflects the degree of price fluctuations during a one year period. The higher the volatility, the more significantly the price of the asset (stock, ETF, etc.) has changed in the past. Assets with higher volatility are generally considered more risky. We calculate the volatility based on the data for the past 1, 3 and 5 years so that you can see if price fluctuations for the ETF became stronger or weaker over time.
  • Return per risk for 1, 3 and 5 year periods. This is the annualised (i.e. converted to a one year period) past return divided by the past annualised volatility. The metric puts the historical return of an asset in relation to its historical risk and gives you a retrospective indication of the degree of price fluctuation you had to bear with in order to obtain the return. We calculate this parameter for 1, 3 and 5 year periods to display its evolution over time.
  • Maximum drawdown for a period. This shows the worst possible loss an investor could have suffered during the respective period, by first buying and subsequently selling the asset at the least favourable prices. For example, if there was the following sequence of daily ETF prices: 10€, 5€, 12€, 20€, an investor would have suffered the worst loss by buying for 10€ and subsequently selling for 5€. Therefore in this case the maximum drawdown would be (5€ - 10€)/10€ = -50%.
ETF returns include dividend payments (if applicable).
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Risk overview

Volatility 1 year 42.21%
Volatility 3 years 41.34%
Volatility 5 years -
Return per risk 1 year 0.23
Return per risk 3 years -0.18
Return per risk 5 years -
Maximum drawdown 1 year -27.56%
Maximum drawdown 3 years -60.23%
Maximum drawdown 5 years -
Maximum drawdown since inception -60.23%

Rolling 1 year volatility

— Data provided by Trackinsight, etfinfo, Xignite Inc., gettex, FactSet and justETF GmbH.

Quotes are either real-time (gettex) or 15 minutes delayed stock exchange quotes or NAVs (daily published by the fund provider). By default, ETF returns include dividend payments (if applicable). There is no warranty for completeness, accuracy and correctness for the displayed information.