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Compare Packaging Corporation of America (PKG) vs Walmart Stores Inc (WMT) Price & Performance

Packaging Corporation of AmericaTrade
Walmart Stores IncTrade

Price performance (Past 24H)

Key statistics

Packaging Corporation of America vs Walmart Stores Inc — how do they compare? Packaging Corporation of America trades at $228.27 (market cap $20.33B), while Walmart Stores Inc trades at $109.39 (market cap $878.49B). The key difference: Walmart Stores Inc is far larger — about 43.2× Packaging Corporation of America's market cap, and Packaging Corporation of America pays the higher dividend (2.63%). Which is the better fit depends on your goals.

PKGWMT
Market Cap
$20.33B$878.49B
Sector
TechnologyConsumer Staples
52-Week High
$246.31$134.20
52-Week Low
$191.41$95.68
Enterprise Value
$24.16B$941.94B
Dividend Yield
2.63%0.9%
Volume
5,675,288

Aura AI Summary

Signals from Pluang's Aura AI — not financial advice

Packaging Corporation of America

Packaging Corp of America (PKG) trades at $228.43, down 1.99% on the day, with a bullish technical signal supported by moving averages. The company maintains solid fundamentals with $8.99B revenue and 8.04% net margin, though recent earnings show mixed performance with Q1 2026 beating estimates but Q3/Q4 2025 missing. A 20% dividend increase to $6.00 annually reflects management confidence. Analyst consensus is mixed with 34.62% buy ratings and a $256.14 price target suggesting 12% upside potential.

PKG presents a balanced investment case with attractive dividend yield and analyst upside, but faces earnings volatility and margin pressure. The upcoming Q2 2026 earnings report on July 22 will be crucial for confirming growth trajectory. Key risks include integration challenges from the Greif acquisition and ongoing cost pressures affecting profitability.

Walmart Stores Inc

Walmart (WMT) trades at $112.20, down 1.79% amid bearish technical signals despite strong fundamentals. The company has consistently beaten earnings estimates in recent quarters with Q2 2026 EPS expected at $0.74. Revenue growth remains robust at $681B for 2025, with net income margin improving to 3.13%. Technical indicators show bearish momentum with support at $109 and resistance at $114.

Walmart presents a compelling long-term investment with 73% analyst buy ratings and $142.33 consensus price target representing 27% upside. Risks include competitive pressure from Amazon, margin compression concerns, and economic sensitivity. The company's strong cash flow generation and dividend program provide shareholder value stability amid market volatility.

Returns comparison

Trailing returns across standard periods

Top news

Latest headlines on both assets

About Packaging Corporation of America

Packaging Corporation of America is a leading producer of containerboard and corrugated packaging products in North America. The company also produces white papers, which include printing and writing papers. PKG operates as an integrated manufacturer, with a strong focus on high-quality and sustainable packaging solutions for e-commerce, food and beverage, and other industrial and consumer markets.

Read more on PKG

About Walmart Stores Inc

Walmart Inc. operates discount stores, supercenters, and neighborhood markets. The Company offers merchandise such as apparel, house wares, small appliances, electronics, musical instruments, books, home improvement, shoes, jewelry, toddler, games, household essentials, pets, pharmaceutical products, party supplies, and automotive tools. Walmart serves customers worldwide.

Read more on WMT