O-I Glass, Inc. logo OI - O-I Glass, Inc.

Price: -- -- | CONSENSUS: Hold DETAILS
STRONG
BUY
0
BUY 9
HOLD 12
SELL 2
STRONG
SELL
0
| PRICE TARGET: $16.40 DETAILS
HIGH: $21.00
LOW: $13.00
MEDIAN: $14.00
CONSENSUS: $16.40
UPSIDE: 85.73%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Revenue
Revenue 6,426 6,531 7,105 6,856 6,357 6,091 6,691 6,877 6,869 6,702 6,156 6,784 6,967 7,000 7,358 6,633 7,066.5 7,884.7 7,679.2 7,523.5 7,189.7 6,263.4 6,110.5 5,760.1 6,013.3 5,552.1 5,522.9 5,306.3 4,658.5 3,845.7 3,763.2 3,567.3 3,535
Cost of Revenue 5,317 5,486 5,609 5,643 5,266 5,119 5,523 5,594 5,736 5,490 5,046 5,531 5,636 5,626 5,979 5,283 5,582.6 6,208.1 5,971.4 6,084 5,719.5 4,918.4 4,917.2 4,413.4 4,218.4 3,809.6 3,751.1 3,611.7 3,322.9 2,832.6 2,710.4 2,590.7 2,591.5
Gross Profit 1,109 1,045 1,496 1,213 1,091 972 1,168 1,283 1,133 1,212 1,110 1,253 1,331 1,374 1,379 1,350 1,483.9 1,676.6 1,707.8 1,439.5 1,470.2 1,345 1,193.3 1,346.7 1,794.9 1,742.5 1,771.8 1,694.6 1,335.6 1,013.1 1,052.8 976.6 943.5
Operating Expenses
R&D Expenses 42 80 92 79 82 75 68 70 60 65 64 63 62 62 71 62 58.8 66.6 65.8 63.8 29.8 25.4 47.6 41.1 41.2 46.7 37.5 36.4 28.9 56.7 54.8 54.6 0
SG&A Expenses 434 450 559 516 507 429 437 483 502 503 476 523 506 555 556 492 506.4 511.9 520.6 564.8 523.7 435.9 391.9 867.3 652.5 1,313.9 529.1 798.3 378.1 188.6 187.8 193.5 842.8
Other Expenses 0 (5) 32 33 (37) 468 0 0 0 0 0 0 0 (271) 0 0 0 0 0 0 1,135.3 673.4 (6,495.1) 0 0 549.5 545.3 463.9 343.5 271.6 238.1 233.6 232.3
Operating Expenses 476 525 683 628 552 972 505 553 562 568 540 586 568 600 627 554 965.5 578.5 586.4 628.6 1,688.8 1,134.7 (6,055.6) 908.4 693.7 1,910.1 1,111.9 1,298.6 750.5 516.9 480.7 481.7 1,075.1
Operating Income
Operating Income 633 520 813 585 539 0 663 709 530 605 570 598 763 774 752 560 918.7 1,098.1 1,121.4 810.9 (218.6) 210.3 7,248.9 438.3 1,101.2 (167.6) 659.9 396 585.1 496.2 572.1 494.9 (131.6)
Interest Expense 341 335 342 239 216 265 311 261 268 272 251 230 239 248 314 249 221.7 253 0 0 0 685.2 0 438.3 0 0 0 0 0 0 0 0 0
Interest Income 0 0 0 0 0 0 0 0 0 0 0 0 10 9 11 13 28.6 38.6 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 781 859 892 1,498 997 1,086 494 978 983 1,055 887 972 1,094 988 330 1,064 931.9 1,271.3 1,469.8 1,115.9 1,216.1 1,315.4 87.2 6,239.6 5,896.4 644.6 1,205.2 859.9 928.6 767.8 810.2 728.5 100.7
EBIT 292 373 409 1,044 548 618 50 538 543 628 519 537 763 567 (92) 675 536 811.4 1,008.9 606.7 692.1 840.6 (438) 5,758.9 5,352.7 95.1 659.9 396 585.1 496.2 572.1 494.9 (131.6)
Income Before Tax (49) 38 67 805 332 353 (261) 277 275 356 59 287 335 328 (406) 424 325.3 558.4 506.6 142.6 (218.6) 210.3 (1,116.5) 16.6 647.1 (413.6) 484.6 188.8 420.9 296 269.9 147.2 (313.9)
Income Tax Expense 54 126 152 178 167 89 118 108 70 119 106 92 120 108 85 129 127.5 236.7 147.8 126.5 367.1 5.9 (125.7) (18.3) 286.4 (143.9) 185.5 66.7 148.5 104.9 100.8 68.9 (113.1)
Net Income (129) (106) (103) 584 149 249 (400) 257 180 209 (74) 144 184 184 (510) (47) 161.8 258.3 1,340.6 (27.5) (558.6) 235.5 (990.8) (460.2) 356.6 (269.7) 298.3 108 167.9 191.1 169.1 78.3 4.9
Per Share Data
EPS (Basic) -0.84 -0.69 -0.67 3.76 0.95 1.59 -2.44 1.60 1.11 1.29 -0.46 0.87 1.11 1.12 -3.12 -0.29 0.96 1.55 8.55 -0.18 -3.70 1.45 -6.74 -3.14 2.30 -2.00 1.79 0.62 1.25 1.58 1.40 0.64 0.03
EPS (Diluted) -0.84 -0.69 -0.67 3.67 0.93 1.57 -2.44 1.59 1.10 1.28 -0.46 0.87 1.11 1.11 -3.12 -0.28 0.95 1.52 7.99 -0.18 -3.70 1.43 -6.74 -3.14 2.30 -2.00 1.78 0.62 1.24 1.58 1.40 0.64 0.03
Shares Outstanding 153.6 154.6 154.7 155.3 157.2 156.8 155.2 160.1 162.7 161.9 161.2 164.7 164.4 164.5 163.7 164.3 167.7 163.2 154.2 152.1 150.9 148.0 146.9 146.6 155.0 134.8 166.6 174.2 134.3 120.9 120.8 122.3 119.1
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Current Assets
Cash & Cash Equivalents 759 734 913 773 725 563 551 512 492 492 811.7 379.5 277.9 163.4 126.4 155.6 229.7 257.1 271.4 218.2 160.9 109.4 109.4 67.1
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0.9 25 27.6 26.8 17.6 16.4 19.7 32.1 0 0 0 0 0 0
Net Receivables 601 572 671 760 692 623 621 549 663 580 1,004.2 988.8 821.3 769.7 701.9 754.5 770.9 856.4 877.7 681.6 488.8 423.9 447.7 366.5
Inventory 1,002 963 1,071 848 816 841 1,045 1,018 1,036 983 900.3 999.5 1,117.7 1,010.1 893.5 836.7 862.4 826.6 838.1 592.4 494.6 502.2 477.1 472.8
Other Current Assets 239 209 229 222 49 0 0 0 0 149 56.6 24.1 125.2 0 0 0 199 137.6 189.9 156.1 140.8 181.3 64.9 53.6
Total Current Assets 2,601 2,478 2,884 2,603 2,519 2,297 2,488 2,357 2,420 2,254 2,796.7 2,444.7 2,400.8 2,121.8 1,887.2 1,987.2 2,081.7 2,109.8 2,177.1 1,648.3 1,285.1 1,216.8 1,099.1 960
Non-Current Assets
Property, Plant & Equipment 3,633 3,497 3,775 3,187 2,933 3,045 3,476 3,085 3,131 2,880 2,742.3 2,645.6 3,497.7 3,387 3,324.1 3,259.9 3,284.9 3,444.1 3,427 2,405.4 1,941.6 1,784.8 1,636.5 1,497.8
Goodwill 1,487 1,321 1,473 1,813 1,840 1,951 1,934 2,513 2,590 2,462 2,381 2,207.5 3,009.1 2,280.2 0 2,995.3 0 0 0 0 0 0 0 0
Intangible Assets 222 235 296 306 335 384 445 400 439 464 0 0 0 0 2,691.2 0 3,101 3,294.4 3,314.9 1,294.9 1,003.5 1,023.9 1,049.4 1,083
Long-Term Investments 735 661 743 695 643 673 694 698 525 433 114.3 101.7 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 427 383 391 340 410 354 395 455 457 457 125.1 132.5 1,829.1 1,742.3 1,966.8 1,864.2 1,875.6 1,908 2,141.7 1,496.5 1,875.1 1,413.7 1,532.6 1,360.6
Total Non-Current Assets 6,642 6,176 6,785 6,458 6,313 6,585 7,122 7,342 7,336 6,881 5,930.7 5,531.8 8,335.9 7,409.5 7,982.1 8,119.4 8,261.5 8,646.5 8,883.6 5,196.8 4,820.2 4,222.4 4,218.5 3,941.4
Total Assets 9,243 8,654 9,669 9,061 8,832 8,882 9,610 9,699 9,756 9,135 8,727.4 7,976.5 10,736.7 9,531.3 9,869.3 10,106.6 10,343.2 10,756.3 11,060.7 6,845.1 6,105.3 5,439.2 5,317.6 4,901.4
Current Liabilities
Account Payables 1,201 1,142 1,437 1,355 1,210 1,126 1,276 1,321 1,324 1,135 850 838.2 911.6 541.5 514.2 457.4 522.7 982.4 992.6 452.3 318.9 289.5 280.3 240.7
Short-Term Debt 162 457 248 345 72 197 124 160 162 195 352 393.8 192.5 92.4 78.2 71.2 120 205.7 249.5 176.9 141.5 75.5 65 49.2
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 454 410.2 362 354.4 0 0 0 0 0 0 0 0
Other Current Liabilities 131 (41) 0 0 13 0 0 569 628 556 448.5 376 624 319.3 343 348.5 675.3 85 85 414.6 444.5 523.9 582.7 436.2
Total Current Liabilities 2,089 2,160 2,346 2,357 1,846 1,898 1,995 2,207 2,280 2,060 2,034.3 2,003.3 1,906.5 1,363.4 1,297.4 1,231.5 1,318 1,273.1 1,327.1 1,043.8 904.9 888.9 928 726.1
Non-Current Liabilities
Long-Term Debt 4,837 4,390 4,698 4,371 4,753 4,945 5,435 5,181 5,121 5,133 3,257.5 2,940.3 5,167.9 5,333.1 5,268 5,329.7 5,729.8 5,733.1 5,667.2 3,146.7 3,253.2 2,757.7 2,624.7 2,419.3
Deferred Tax Liabilities 75 74 86 84 102 109 110 96 99 100 186.3 105.9 183.3 119.6 278.4 465.2 218.2 407.4 325 229.2 201.2 133.4 47 32.7
Other Non-Current Liabilities 797 493 795 721 1,304 1,529 1,506 1,315 1,329 1,479 602.8 652.1 1,765.1 1,550.7 1,212.8 769.1 1,021.3 797.9 1,028.8 837 821.6 959.8 1,216.8 1,337.3
Total Non-Current Liabilities 5,709 5,289 5,579 5,176 6,159 6,583 7,051 6,592 6,549 6,712 4,956.7 4,679.8 7,116.3 7,003.4 6,759.2 6,564 6,969.3 6,938.4 7,021 4,212.9 4,276 3,850.9 3,888.5 3,789.3
Total Liabilities 7,798 7,449 7,925 7,533 8,005 8,481 9,046 8,799 8,829 8,772 6,991 6,683.1 9,022.8 8,366.8 8,056.6 7,795.5 8,287.3 8,211.5 8,348.1 5,256.7 5,180.9 4,739.8 4,816.5 4,515.4
Stockholders' Equity
Common Stock 2 2 2 2 2 2 2 2 2 2 1.8 1.8 1.6 1.6 1.6 1.6 1.6 1.6 0 0 0 0 0 0
Retained Earnings 548 676 782 885 301 152 (89) 333 84 (96) 129.4 (32.4) (975.3) (1,189.3) (177) 304.7 (30.4) 284.1 7.3 (90.3) (258.2) (449.3) (618.4) (696.7)
Accumulated Other Comprehensive Income (1,620) (1,975) (1,580) (1,861) (1,972) (2,272) (1,843) (1,968) (1,826) (2,172) (1,317.8) (1,620.6) 45.7 (243.1) (583.6) (576.3) (506.4) (368.6) (1,967.1) (1,699.7) (1,494.3) (1,302.4) (1,181.9) (988.1)
Total Stockholders' Equity 1,294 1,079 1,609 1,417 720 297 467 900 927 363 1,538.2 1,040.6 1,544.3 1,003.4 1,670.8 2,151.8 1,883 2,349.9 2,472 1,341.9 729.7 531.9 375.9 294.8
Total Liabilities & Equity 9,243 8,654 9,669 9,061 8,832 8,882 9,610 9,699 9,756 9,135 8,727.4 7,976.5 10,736.7 9,531.3 9,869.3 10,106.6 10,343.2 10,756.3 11,060.7 6,845.1 6,105.3 5,439.2 5,317.6 4,901.4
Debt Metrics
Total Debt 4,999 5,179 4,946 4,716 4,825 5,142 5,559 5,341 5,283 5,328 3,784.5 3,509.2 5,360.4 5,425.5 5,346.2 5,400.9 5,849.8 5,938.8 5,916.7 3,323.6 3,394.7 2,833.2 2,689.7 2,468.5
Net Debt 4,240 4,445 4,033 3,943 4,100 4,579 5,008 4,829 4,791 4,836 2,972.8 3,129.7 5,082.5 5,262.1 5,219.8 5,245.3 5,620.1 5,681.7 5,645.3 3,105.4 3,233.8 2,723.8 2,580.3 2,401.4
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Operating Activities
Net Income 5 (88) (103) 627 142 264 (379) 169 205 237 (621.6) 171.5 (990.8) 9.4 360.7 (269.7) 299.1 122.1 272.4 191.1 169.1 78.3 17.6
Depreciation & Amortization 489 486 483 454 401 468 499 507 501 491 524 474.8 525.2 480.7 543.7 549.5 545.3 463.9 343.5 271.6 238.1 233.6 232.3
Stock-Based Compensation 25 14 43 33 0 0 0 27 18 11 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital 20 (125) (188) 95 28 (181) (176) 15 (89) 90 18.3 154.9 (95) 48.1 (67.1) (116.3) (122.4) (136.1) (91.8) (57.2) (60) (38.7) (176.5)
Other Non-Cash Items 126 195 558 (1,077) 111 (89) 454 5 (128) (139) (269.6) (197.3) 1,096.3 629.1 (522.4) 445.1 (269) 228.9 (58.3) (165.2) (33.7) (176) (267)
Operating Cash Flow 600 489 818 154 687 457 405 791 721 751 503.8 609.9 353.1 603.1 538.1 364.8 563 647.3 445.2 317.8 252.6 227.4 231.7
Investing Activities
Capital Expenditure (432) (617) (688) (539) (398) (311) (426) (536) (441) (454) (404.1) (461.8) (431.5) (496) (531.9) (481.4) (684.4) (4,273.7) (471.3) (831.3) (283.6) (286) (266.2)
Acquisitions 0 26 1 98 180 404 (212) (175) (39) (56) (11.6) (630.3) 0 (17.6) (184.6) (77.1) 0 0 0 0 0 0 0
Purchases of Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Sales/Maturities of Investments 0 0 0 0 0 0 0 0 0 0 0 0 163 0 0 0 0 0 0 0 0 0 0
Other Investing Activities (368) (29) 4 344 (2) 0 201 13 129 93 167 1,430.9 66.7 39 605.3 94.4 337.1 41.1 (79.7) 9.2 (50.7) (34) 695.4
Investing Cash Flow (368) (620) (683) (97) (220) 93 (437) (698) (351) (417) (248.7) 338.8 (201.8) (474.6) (111.2) (464.1) (347.3) (4,232.6) (551) (822.1) (334.3) (320) 429.2
Financing Activities
Net Debt Issuance (147) 76 81 (29) (200) (475) 215 140 (370) (218) (173.6) (783.5) 63.1 (44) (384.2) 59.2 30.3 2,572.3 (156.8) 553.6 77.2 172.9 (618.8)
Stock Repurchased (40) (40) (40) (40) (40) (3) (42) (163) (5) 0 0 0 0 0 (5.2) (17.2) (225.6) 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 (8) (31) 0 0 0 (21.5) (21.5) (21.5) (21.5) (21.5) (21.5) (21.5) 0 0 0 0 0 0
Other Financing Activities (63) (44) (68) 75 (33) (71) (74) (30) (17) (15) (99) (60.3) (167.6) (98.6) (88.2) 0 (1) (10.4) (164.7) (2.9) 0 (1.2) (14.9)
Financing Cash Flow (250) (8) (27) 6 (273) (557) 68 (53) (392) (228) (273.1) (837.9) (122.4) (157.3) (496.7) 23.1 (213.2) 3,642.6 182.3 563.5 81 176.7 (633.7)
Cash Position
Net Change in Cash 25 (179) 140 48 162 12 39 20 0 93 (31.3) 114.5 37 (29.2) (74.1) (27.4) (14.3) 53.2 57.3 51.5 0 42.3 (14)
Cash at Beginning 734 913 773 725 563 551 512 492 492 399 277.9 163.4 126.4 155.6 229.7 257.1 271.4 218.2 160.9 109.4 109.4 67.1 81.1
Cash at End 759 734 913 773 725 563 551 512 492 492 246.6 277.9 163.4 126.4 155.6 229.7 257.1 271.4 218.2 160.9 109.4 109.4 67.1
Free Cash Flow 168 (128) 130 (385) 289 146 (21) 255 280 297 99.7 148.1 (78.4) 107.1 6.2 (116.6) (121.4) (3,626.4) (26.1) (513.5) (31) (58.6) (34.5)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Income Statement
Revenue 6,426 6,531 7,105 6,856 6,357 6,091 6,691 6,877 6,869 6,702 6,156 6,784 6,967 7,000 7,358 6,633 7,066.5 7,884.7 7,679.2 7,523.5 7,189.7 6,263.4 6,110.5 5,760.1 6,013.3 5,552.1 5,522.9 5,306.3 4,658.5 3,845.7 3,763.2 3,567.3 3,535
Gross Profit 1,109 1,045 1,496 1,213 1,091 972 1,168 1,283 1,133 1,212 1,110 1,253 1,331 1,374 1,379 1,350 1,483.9 1,676.6 1,707.8 1,439.5 1,470.2 1,345 1,193.3 1,346.7 1,794.9 1,742.5 1,771.8 1,694.6 1,335.6 1,013.1 1,052.8 976.6 943.5
Operating Income 633 520 813 585 539 0 663 709 530 605 570 598 763 774 752 560 918.7 1,098.1 1,121.4 810.9 (218.6) 210.3 7,248.9 438.3 1,101.2 (167.6) 659.9 396 585.1 496.2 572.1 494.9 (131.6)
Net Income (129) (106) (103) 584 149 249 (400) 257 180 209 (74) 144 184 184 (510) (47) 161.8 258.3 1,340.6 (27.5) (558.6) 235.5 (990.8) (460.2) 356.6 (269.7) 298.3 108 167.9 191.1 169.1 78.3 4.9
EPS (Diluted) -0.84 -0.69 -0.67 3.67 0.93 1.57 -2.44 1.59 1.10 1.28 -0.46 0.87 1.11 1.11 -3.12 -0.28 0.95 1.52 7.99 -0.18 -3.70 1.43 -6.74 -3.14 2.30 -2.00 1.78 0.62 1.24 1.58 1.40 0.64 0.03
Balance Sheet
Cash & Equivalents 759 734 913 773 725 563 551 512 492 492 811.7 379.5 277.9 163.4 126.4 155.6 229.7 257.1 271.4 218.2 160.9 109.4 109.4 67.1
Total Assets 9,243 8,654 9,669 9,061 8,832 8,882 9,610 9,699 9,756 9,135 8,727.4 7,976.5 10,736.7 9,531.3 9,869.3 10,106.6 10,343.2 10,756.3 11,060.7 6,845.1 6,105.3 5,439.2 5,317.6 4,901.4
Total Debt 4,999 5,179 4,946 4,716 4,825 5,142 5,559 5,341 5,283 5,328 3,784.5 3,509.2 5,360.4 5,425.5 5,346.2 5,400.9 5,849.8 5,938.8 5,916.7 3,323.6 3,394.7 2,833.2 2,689.7 2,468.5
Stockholders' Equity 1,294 1,079 1,609 1,417 720 297 467 900 927 363 1,538.2 1,040.6 1,544.3 1,003.4 1,670.8 2,151.8 1,883 2,349.9 2,472 1,341.9 729.7 531.9 375.9 294.8
Cash Flow
Operating Cash Flow 600 489 818 154 687 457 405 791 721 751 503.8 609.9 353.1 603.1 538.1 364.8 563 647.3 445.2 317.8 252.6 227.4 231.7
Capital Expenditure (432) (617) (688) (539) (398) (311) (426) (536) (441) (454) (404.1) (461.8) (431.5) (496) (531.9) (481.4) (684.4) (4,273.7) (471.3) (831.3) (283.6) (286) (266.2)
Free Cash Flow 168 (128) 130 (385) 289 146 (21) 255 280 297 99.7 148.1 (78.4) 107.1 6.2 (116.6) (121.4) (3,626.4) (26.1) (513.5) (31) (58.6) (34.5)